Strategy Overview
Investment Approach
Strong and predictable returns through direct investment in high quality infrastructure assets.
The strategy seeks to invest in a portfolio of compelling mid-market core and core-plus infrastructure assets. The strategy is designed to diversify across geographies, sub-sectors and types of projects. It seeks to generate stable and predictable cash flows over the long term by investing in assets that operate under regulatory frameworks, long-term contracted or concessions, or have monopolistic characteristics.
More information can be found on the Fiera Infrastructure website
Key Characteristics
- Long-lived assets are generally physical, durable and substantial real assets that operate over an extended period of time
- Regulated or substantially contracted revenue stream
- Limited demand and usage risk or well established usage pattern
- Strong competitive positions with high barriers to entry
- Strong margins and stable cash flow
- Positive correlation with economic growth and inflation
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Past performance is not a guarantee of future results. Inherent in any investment is the potential for loss. Target returns are aspirational, forward-looking and do not represent actual performance. There is no guarantee that such performance will be achieved, and actual results may vary substantially. Metrics (e.g., exposures, ratios, characteristics) are for reference only and may not capture all relevant factors. Different metrics may lead to materially different conclusions; Any specific holdings mentioned are for illustration only, and may not represent the full portfolio, past holdings, or future positions. Indices are unmanaged, not investable, and do not reflect fees or expenses. Index comparisons are provided for context and portfolio holdings may differ significantly from those of any index; All investment strategies involve risks, including market, economic, financial, operational, liquidity, valuation, and regulatory risks. Certain strategies may use leverage, derivatives, or concentrated exposures, which can increase volatility and risk of loss; No strategy, diversification approach, or risk management technique can eliminate risk, or guarantee returns in all market environments; Investors should review relevant governing documents and consult their own advisers before making investment decisions.
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