Biography
Main responsibilities
Darryl is responsible for origination, structuring and execution of new infrastructure debt transactions. Transactions are sourced and assessed against the investment strategies of our clients and structured accordingly.
Experience and qualifications
Prior to joining Aviva Investors, he was a partner at KPMG in the Infrastructure Advisory practice. Darryl has over 27 years’ experience in infrastructure finance having also worked at Hambros, SG, Newcourt Capital, RBC and was head of European Project Finance at HSBC. He is widely recognised as one of the leading infrastructure financing experts in the UK and has structured, advised and arranged on a wide number of projects globally and has particular expertise in public private partnerships.
Darryl holds a BSc and PhD in Maths from the University of Exeter.
Related profiles
Nick Fisher
Research Director
Imogen Ebbs
Head of UK Funds, Real Estate Equity
Rohit Khosla
Associate, Real Estate Transactions
Edward Vaughan Dixon
Head of Sustainability, Private Markets
Adrian Poole
Origination Director, Real Estate Debt
Daniel McHugh
Chief Investment Officer
Barry Fowler
Director, Insurance & Investment Solutions
Mark Versey
Chief Executive Officer
Jonathan Bayfield
Director, Real Estate Research & Strategy, Private Markets
We know what it takes to make a difference
It takes working together to drive sustainable transition across People, Climate, and Earth. It takes Aviva Investors.
You might also be interested in
-
40 years of lending lessons: How four decades in real estate debt has shaped Aviva Investors’ approach
12 Dec. 2024
From navigating market crashes to embracing ESG and technology, Adrian Poole and Gregor Bamert reveal how 40 years of real estate debt investing have moulded Aviva Investors’ strategy – and what it takes to stay ahead in a rapidly changing market.
-
Illiquidity premia in private debt: Q3 2024
30 Oct. 2024
In our latest private markets deep dive, our research team crunches the data to see how evolving macro conditions are reflected in private debt returns.
-
Seizing the moment: The outlook for real estate debt
24 Sep. 2024
Gregor Bamert, Sima Kotecha and Nick Solomon discuss the recovery in real estate debt markets in 2024 and the opportunities emerging.
-
Get networking: Will the next decade be a golden age for UK infrastructure?
3 Sep. 2024
While there are obstacles to overcome, the coming years could see new opportunities for the UK government and the private sector to work together on infrastructure projects, says Darryl Murphy.
-
Illiquidity premia in private debt: Q2 2024
6 Aug. 2024
In our latest real assets deep dive, our research team explains how our data on illiquidity premia indicates the benefits of a multi-asset approach to private debt investing.
-
Relative value in real assets: A spectrum of opportunities
2 Aug. 2024
Our real assets research team drills into proprietary data to compare risk and return across sectors.
-
A new chapter: Time to prepare for the next phase of the real estate cycle
17 Jul. 2024
David Hedalen and Jonathan Bayfield from our real assets research team highlight data that shows real estate markets in the UK and Europe may be on the brink of an important shift.
-
The future of green premia in real estate, part two: Searching for value and resilience
8 Jul. 2024
Do energy-efficient buildings have more pricing power, and what could that mean for those investing in the built environment? We bring together the views of leading capital markets researchers, a valuer and an asset manager for the second part of our deep dive into green premia, analysing the investment implications.
-
The future of green premia in real estate, part one: The view from the ground
27 Jun. 2024
Do greener buildings have more pricing power, and if so, how much? We bring together the views of leading capital markets researchers, a valuer and an asset manager for a two-part deep dive on the latest market dynamics.
-
Cyclical, structural, vintage: The outlook for real estate equity
10 May 2024
High inflation and rising rates hit activity in real estate markets over the past year. But cautious optimism is now returning to the investment landscape in the UK and Europe, say Imogen Ebbs and George Fraser-Harding.
-
Resilience and recovery: The outlook for real estate long income
21 Mar. 2024
Renos Booth, Isabel Gossling and Kris McPhail from our real estate long income team consider the outlook for long-lease assets after a challenging period for investors.
-
Rents, rates and the refinancing gap: The outlook for real estate debt
19 Mar. 2024
After a challenging 12 months for real estate debt investors, Gregor Bamert discusses what lies ahead for the market in 2024.
-
Illiquidity premia in private debt: Q4 2023
12 Mar. 2024
In our latest real assets deep dive, our research team crunches the data to see how evolving macro conditions are reflected in private debt returns.
-
Des res: Opportunities in rental housing for institutional investors
25 Jan. 2024
Jonathan Bayfield examines the fundamentals of this asset class, as well as the opportunities and risks for real-estate investors.
-
Common ground: Earning a social licence to operate in real asset investing
18 Jan. 2024
Successful real asset investing requires acceptance of asset managers’ practices and procedures from a variety of stakeholders. We explore what this means for managers, their clients and investment outcomes.
-
Plus ça change…The outlook for infrastructure debt in 2024
11 Jan. 2024
Infrastructure demonstrated characteristic resilience in 2023 in the face of significant macroeconomic headwinds. Darryl Murphy from our infrastructure team explains why he expects current themes to persist in 2024.