Infrastructure debt is an increasingly popular and unique investment proposition for long-term investors but with the benefits come specific risks. Optimising your infrastructure portfolio depends on overcoming certain challenges and responding to certain questions:
What is the investment rationale for choosing infrastructure debt over equity?
How does the current fundraising landscape look, especially given the growing interest from Asian investors in long-term investments?
Where do the opportunities lie and how can investors source and secure the deal pipeline?
How supportive and dynamic is the deal flow in the secondary market?
How important are sustainability and ESG considerations in a responsible investment process?