By deeply understanding sectors globally, we take a more informed view of risk, return and pricing for every asset that we acquire, manage and prepare to sell.
Given the diversity of infrastructure assets, QIC believes this is the most effective way to identify relative value and understand operating environments, rather than investing purely on a geographic basis.
  • Global sector-centric focus across core assets in Transport, Energy & Utilities, PPP/Social
  • Deep sector experts leverage their industry knowledge and relationships across multiple regions and regulatory environments to find and enhance relative value assets
  • Globally mobile and supported by offices in Australia, Europe and the U.S. the team also leverages an extensive global network of Non-Executive Director Advisers.

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