Investment approach
We believe that direct infrastructure investment can provide diversification benefits and attractive risk-adjusted returns in the context of an overall portfolio, given direct infrastructure’s relatively low correlation with most other asset classes.
AMP Capital is an experienced infrastructure investment and fund manager, with a proven track record in delivering solid returns to clients. We take an active role in managing investments and add value through both financial structuring and operational input. In addition, the team can draw upon AMP Capital’s broader resources, including debt advisory, economic strategy, listed equities, fixed interest, direct property, legal and tax.
We seek to add value and achieve superior risk adjusted returns across the entire ‘value chain’ of infrastructure investment – development and origination of investment opportunities, investment evaluation and execution, portfolio construction and management and active asset management.
We manage a number of customised mandates on behalf of single clients with larger-sized commitments. These customised investment mandates (which are tailored to the clients specific risk & return objectives) can incorporate domestic and international infrastructure equity or debt investments as well as listed infrastructure, depending on individual client requirements.
Given the conflicts that may arise from competing capital pools, a deal allocation process is in place to ensure that all opportunities are dispersed to clients on a fair and transparent basis. This ensures our committed and like-minded clients are treated as valued partners and have the same access to investment opportunities as our flagship funds.