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Europe offers an array of opportunities for infrastructure debt investors. But selectivity is key, says Bertrand Loubières, head of infrastructure finance at AXA Investment Managers – Real Assets.
With definitions of infrastructure expanding and abundant liquidity available in the debt market, managing risk is top priority, says Matthew Norman, Crédit Agricole CIB’s global head of infrastructure.
Infrastructure debt is coming of age, says Jean-Francis Dusch of Edmond de Rothschild Asset Management.
Low interest rates and favourable regulatory treatment make infrastructure debt the ideal bet for 2020, says head of infrastructure finance at Ostrum Asset Management, Céline Tercier.
Appetite for infrastructure debt is growing as investors become more familiar with the asset class and concerns about the credit cycle grow, say Macquarie Infrastructure Debt Investment Solutions co-heads Tim Humphrey and Kit Hamilton.