EagleCrest
Infrastructure
Investment Approach
Our flagship fund is EagleCrest Infrastructure. Its mandate is to generate attractive risk-adjusted returns from a core and core-plus, global, mid-market portfolio of investments across all subsectors of the infrastructure asset class.
The fund targets core and core-plus assets with historically stable and predictable cash flows and provide essential services with significant barriers to entry, monopolistic characteristics and regulated or contracted revenues. The fund has a global mandate to invest in select Organisation for Economic Co-operation and Development (OECD) countries. Investments are made across the asset class, including energy, utilities, telecommunications, transportation, and public-private partnerships.
EagleCrest Infrastructure is an open-end fund with a long-term investment horizon, taking a buy and manage approach with opportunistic exits.
Management Style
This fund utilizes strategic portfolio construction to develop a diversified portfolio by geography, subsector, and asset type while taking an active approach to asset management. Active asset management focuses on protecting the base case returns, developing existing platforms and delivering upside, to exceed return expectations on a portfolio level.