Listed Infrastructure
We are among the largest dedicated listed infrastructure investors with one of the longest track records investing in assets that provide essential public services that facilitate economic growth.
WHY COHEN & STEERS
Experienced global investment team
Our investment team is one of the largest dedicated to listed infrastructure investing, with leadership that has overseen our infrastructure investing since 2004
Unique and rigorous investment process
Blends proprietary top-down, macro-level framework with rigorous bottom-up, company-level research
Performance
Strong 17-year+ track record, outperforming in both up and down markets
Our strategies
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Investing involves risk, including possible loss of principal. Income from investments is not guaranteed.
We consider the information in this communication to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of suitability for investment. Investors should consult their own investment professional with respect to their individual circumstances.
Past performance does not predict future returns. Risks involved with investment, including potential loss of capital, are substantial and should be carefully considered. The views and opinions are as of the date of publication and are subject to change without notice. There is no guarantee that any historical trend illustrated above will be repeated in the future, and there is no way to predict precisely when such a trend will begin. There is no guarantee that a market forecast made above will be realized. Active management is not guaranteed to outperform the broader market index.
Important Risk Considerations: Investing involves risk, including entire loss of capital invested. There can be no assurance that the investment strategy will meet its investment objectives. Diversification is not guaranteed to ensure a profit or protect against loss. Since the strategy concentrates its assets in global infrastructure securities, the strategy will be more susceptible to adverse economic or regulatory occurrences affecting global infrastructure companies than an investment company that is not primarily invested in global infrastructure companies. Infrastructure issuers may be subject to regulation by various governmental authorities and may also be affected by governmental regulation of rates charged to customers, operational or other mishaps, tariffs and changes in tax laws, regulatory policies and accounting standards. Foreign securities involve special risks, including currency fluctuation and lower liquidity. Investments in securities which represent small and medium-sized companies may be more susceptible to price volatility than larger companies.
NOT FDIC INSURED | NO BANK GUARANTEE | MAY LOSE VALUE