Our investment philosophy includes the following principles:
Fiera Infrastructure adopts a highly analytical and rigorous approach to its investments, applying discipline at all stages, from the initial review until the end of the investment period.
Regardless of market trends, we are willing to be patient in identifying opportunities that offer attractive risk-adjusted returns consistent with our mandate to create value for our investors.
Fiera Infrastructure focuses on what it knows best. Our team is comprised of infrastructure specialists with a high level of financial and technical expertise, as well as a strong investment track record across the infrastructure asset class. We acquired our expertise through our experience as principal investors, portfolio managers and advisors.
The Fiera Infrastructure team has built productive, enduring relationships with investors, management teams, advisors and investment partners, along with real estate and project developers.
We maximize these relationships to find unique investment opportunities for our clients.
Active asset management
Fiera Infrastructure employs an active and focused approach to asset management, using a detailed risk management framework to track operating and financial performance, as well as identify and implement value-added improvements.
We bring both financial and technical skills to our asset management, seamlessly integrating deal execution and management expertise to ensure that returns are protected throughout the investment period.
Fiera Infrastructure always seeks to act in the best interests of our investors and in keeping with our core values: honesty, integrity, competence, respect and excellence.
Fiera Infrastructure upholds industry-leading standards of transparency and communication with investors. We provide detailed quarterly and annual reporting, maintain open dialogue with our investors and co-investment partners, and support the reporting standards of ILPA, the Institutional Limited Partners Association.