Our Approach

Fiera Infrastructure’s investment approach 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
approach include:

Global Mid-Market Strategy

Core and core-plus, mid market, global strategy with total return focus. We target a segment that is less competitive and more relationship based which provides a pipeline of attractive risk-adjusted returns.

Open-End Structure

Fund structure is aligned with long-lived infrastructure assets and investment strategy.

ESG

Fully integrated ESG principles in all investment and asset management activities that has been ingrained in the culture and compensation plans.

New Economy Infrastructure

Our portfolio is low in carbon related investments and GDP related assets. We are focused on ‘new economy’ essential infrastructure.

Experienced and Technical Team

18 investment professionals, with global backgrounds in investment origination and execution, asset management and engineering. This allows us to find value where others may not, through due diligence and asset management.

Established Manager

Established and seasoned leaders in the infrastructure asset class, headquartered in Canada, with a strong global reputation of integrity and trust built on global relationships.