More than 30 years investing in infrastructure making AMP Capital one of the longest standing and experienced investors in the industry
More than US$14 billion in infrastructure equity funds under management1
1The FUM includes undrawn commitments, as at 30 June 2021
Investments in more than 40 portfolio companies across 10 geographies2
2As at 30 June 2021
Investment teams in London, Dublin, New York, Orange County, New Delhi, Sydney and Singapore
2 of AMP Capital’s infrastructure funds in the top 5 of the 2019 GRESB infrastructure rankings for the best infrastructure funds globally for ESG performance3
Worldwide investment in infrastructure is expected to be $79 trillion between now and 2040. However, the actual global investment need is closer to $97 trillion5
To close this $18 trillion gap, average annual global infrastructure investment would need to increase by approximately 23% per year
Portfolio allocations to infrastructure have grown significantly in recent years and this trend is expected to continue, as is the trend for more private capital to replace aging infrastructure or fund new projects
AMP Capital has been investing in infrastructure for over 30 years and is one of the very few truly global mid-market players
5World Economic Forum Global Risks Report 2019 14th Edition
Compelling global mid-market infrastructure fund proposition
Our strategy is to source mid-market infrastructure investments and apply private equity disciplines to maximise value and drive returns. Our global investment team has deep industry experience and in-depth expertise across our key target sectors, which include transport, energy and utilities, digital infrastructure, and infrastructure health. We create value for investors through our active approach to asset management.
- Scale – a truly global mid-market manager
- Talent – specialist expertise across our key target sectors
- Heritage – significant experience in global infrastructure investing and portfolio management
- Private Equity Approach - combining a private equity approach with AMP Capital’s strong infrastructure heritage to drive value
- Value Creation – creating value through our hands-on active asset management style. We direct and manage the infrastructure assets in which we invest so we can influence the strategic and operational direction of our investments
- Growth Platform – we look for scalable expansion and bolt-on acquisitions across our assets where we see opportunities to drive further value
AMP Capital is one of the world’s most experienced infrastructure investors with over 190 investments across debt and equity.6
We’ve been providing infrastructure opportunities for our investors since 1988.
We have more than US$14 billion in infrastructure equity funds under management6
We’ve successfully raised and managed 13 infrastructure funds across a range of geographies and strategies.
We have more than 80 infrastructure investment professionals globally across equity and debt strategies.
AMP Capital is ranked in the top 10 infrastructure managers globally, based on total capital raised, by Infrastructure Investor7.
6 As at 30 June 2021
7 Derived from the 2020 Infrastructure Investor 50. Ranking based on the amount of infrastructure direct investment capital raised by firms between 1 Jan 2015 and 31 Aug 2020
Environmental, social and governance (ESG) is central to AMP Capital’s investment philosophy and active asset management approach, as is our commitment to running well managed businesses. Our ESG and responsible investing capabilities are a major part of who we are and what we stand for. We recognise that all investments we make have a purpose and a wider impact – and it’s up to us to help make it a positive one for our clients and the communities in which we invest.
When investing in and managing infrastructure assets, we view ESG issues the same way we do other investment risks, focussing on identification and mitigation as part of our due diligence, including the appointment of external ESG specialist advisers where appropriate. The fact we aim for controlling stakes in our assets, alongside our approach to active asset management, ensures we are in a strong position to enact change across our assets.
AMP Capital became an early signatory to the United Nations Principles for Responsible Investment (UNPRI) in 2007 while in 2019, GRESB (Global Real Estate Sustainability Benchmark) ranked two of AMP Capital’s infrastructure funds in the top five8 of the GRESB Infrastructure rankings for the best infrastructure funds globally for ESG performance. Of 11 assets in the Global Infrastructure Fund, 6 ranked 1st when compared to peers, demonstrating that our commitment to ESG not only at fund level but also across our asset portfolios.
8Peer groups determined by GRESB based on sector and geography. ADIT ranked 2nd out of 73 Diversified, Private Entity Funds. GIF ranked 2nd out of 28 Diversified, Global Private Funds
A global platform with an experienced team across Europe, North America, Asia and Australia. Comprised of a stable, senior team with an average tenure of 8 years at AMP Capital with a broad range of investment and sector expertise.