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.
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.