In this short interview with Portfolio Manager, Alessandro Merlo highlights the case for infrastructure debt. He also discusses why he believes our infrastructure debt strategy has attracted a large portion of Solvency II regulated insurance investors from across Europe.
The five questions he addresses are:
- What are the key investment benefits of investing in infrastructure debt?
- Why should insurance companies consider infrastructure debt in their portfolio?
- Which part of the market offers the most attractive opportunities?
- What attracted insurers from across Europe to invest?
- How has COVID-19 impacted the infrastructure debt market?