What We Do

We carry out an objective analysis of our clients’ criteria against a universe of alternatives and infrastructure asset managers. Due diligence is then conducted upon the strategies and approaches of each manager including their previous investments. In particular, we calculate the risk to returns ratio of their investments and their previous performance in order to give an objective assessment.

Capital Allocation Strategy

Our strategies are unique to each client and take the best of our market-leading expertise in infrastructure and alternatives to provide impressive returns while ensuring a diverse and well-balanced portfolio. Our process considers fee structure, performance, and corporate governance requirements in close detail. Following this, we provide comprehensive and objective recommendations for investment.

Employing Our Knowledge

Having established the risks, target returns and ESG considerations of a client, capital can be allocated. Employing our vast knowledge of infrastructure asset managers and funds strategies operating in each region of the world, we distinguish ourselves with our ability to evaluate and to shortlist the most effective investments with regard to the needs of each client.

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