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The equity infrastructure team seeks to provide investors with attractive risk adjusted returns, in the form of cash yield supported by long term capital growth. This objective is pursued by making investments in high quality infrastructure assets through commingled unlisted funds and segregated accounts.
With a track record of over 17 years in the origination, execution, management and realisation of infrastructure equity investments, the team includes seasoned investment professionals with a strong combination of financial, operational and structuring experience that is directly relevant to the geographical regions in which our teams operate.
Our investment strategy focuses on leveraging the network of relationships of the team together with our investment partners and exclusive sector research to originate high quality investment opportunities resulting in a strong pipeline of proprietary transactions.  Our best in class execution builds on the deep industrial and regional experience of the team to mitigate risk and deliver stable performance.  This proven execution capability makes us a preferred and trusted counterparty for vendors and investment partners.
Through our equity investments, we proactively exercise our control rights to influence the operations of its portfolio companies. An active hands-on asset management strategy is designed to mitigate investment risks and lead to improved efficiency, profitability, capital growth and alignment of interests with our investors.  Risk management is also practiced throughout our assets and the funds (e.g. hedging foreign currency exposures).
Our robust investment approach incorporates:

  • Extensive origination networks to source the highest quality investments and leverage our competitive advantage through a developed proprietary pipeline;
  • Detailed and consistent expert due diligence on the business, sector and market in order to determine the risk profile and appropriate return requirements;
  • Structuring of risk appropriate financing for the investment in order to optimize the profile of returns to equity whilst adopting a conservative approach to leverage; and
  • Active management of investments to optimise long term performance.