Long Term and Ongoing Outperformance
Since making our first investment in alternative assets in July 1997 we have achieved an enviable track record of delivering long term returns in excess of equity markets with less volatility than the equity markets, as shown in the graph below (data to 31 December 2012)
Our core infrastructure portfolio has produced returns to our investors averaging more than 14% per annum since inception. Our strong track record has been based on:
- a team of investment professionals that has greater depth and more experience than any global alternative asset manager;
- an investment process that is founded on rigourous analysis, fierce independence, and a wealth of experience gained from investing in alternative assets in all market conditions;
- unrivalled access to the best alternative investment opportunities globally, from our three offices on two continents and extensive deal network; and
- dedicated asset management which delivers superior investment returns from our long experience in the governance and operation of alternative assets.
For long-term investors, alternative assets offer high returns, strong cash yields and lower volatility of returns than can be obtained from investing in listed equities. As part of a balanced investment portfolio, alternative assets can improve the risk and return characteristics of your total portfolio.
By tailoring a portfolio of alternative assets to your needs, we can deliver the investment characteristics that best suit your investment objectives and strategies.