Our objective: uncorrelated and attractive risk-adjusted returns
Our Infrastructure Private Debt Strategy provides a diversifying private credit solution to investors, targeting attractive cash yield with meaningful downside protection.

The key tenets of our
approach include:

Differentiated North American Mid-Market Strategy

Our focus is on originating and managing a diverse portfolio of North American private debt investments in infrastructure projects, with particular emphasis on mid-market opportunities that offer superior returns due to illiquidity premiums.

Specialized Credit Expertise

Our investment team is dedicated to infrastructure private debt, with the experience to identify and structure private debt investment opportunities in Canadian and American infrastructure projects. Our long-standing industry relationships drive proprietary deal flow, where we seek an optimal position in the debt capital structure to drive strong risk-adjusted returns.

Attractive Risk-Adjusted Returns

Investments in private infrastructure debt can offer strong and stable cash yield derived from long-term contracts with high quality counterparties. Hard assets as collateral support downside protection.