Fiera Infrastructure’s investment strategy is designed to provide investors with stable and attractive risk-adjusted returns through diversified exposure to the infrastructure asset class. The key tenets of our strategy include:
Core and core-plus segments
Fiera Infrastructure focuses on core and core-plus infrastructure assets, including regulated entities, assets under long-term contract and public-private partnerships.
Our mid-market focus offers a broad range of investment opportunities across geographic regions and subsectors, while remaining below the size threshold of the largest market players.
Infrastructure is a global asset class, and Fiera Infrastructure’s OECD mandate allows us to pursue investment opportunities across subsectors in jurisdictions that offer the most compelling opportunities and the highest risk-adjusted returns.
We invest throughout the infrastructure asset class, providing diversification across geographic regions, subsectors and stages of development.
Fiera Infrastructure seek to provide investors with long-term stable returns by investing in high quality and long-lived assets and projects.
Fiera Infrastructure provides investors with significant co-investment opportunities, whether as part of a consortium that we create, or as part of a larger group with other investors.