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Infrastructure

Our team invests in infrastructure assets with stable and predictable cash flows, long-term inflation protection and reasonable risk-adjusted returns.

We deploy long-term capital through a multi-pronged approach to diversify our portfolio and to maintain a steady investment pace through economic cycles.

We invest across the capital structure – equity and credit, and across the private and public markets. Investments are typically made on a direct basis, while a portion is deployed via selected fund managers.

We are primarily focused on infrastructure that provides essential services and generates resilient returns. These include mature and low-to-moderate risk assets in developed markets, complemented by investments with higher growth potential in emerging markets.

What You’ll Do

Direct Investment  

We make direct equity investments across the infrastructure asset class – including gas and electricity networks, power generation and renewables, communications infrastructure, data centres, water utilities, airports, seaports and highways.

Funds & Co-investment

We invest in and co-invest alongside well-regarded infrastructure fund managers.

Credit

We invest in infrastructure non-investment grade debt through direct investments complemented with fund and co-investments.

Asset Management

We actively manage our direct equity investments, sitting on company boards and working with management teams to ensure efficient operations, good governance and sustainable returns.

Global Investment Strategy & Risk 

The GISR team supports the Infrastructure Chief Investment Officer (CIO) and senior management in evaluating investments, developing the investment strategy, shaping INFRA’s role within the broader GIC portfolio, and ensuring investment activities adhere to our risk framework. 

People

Our diverse and capable talent is committed to our purpose, values, and culture. They enable GIC to take bold and calculated risks in the fast-moving investment environment. Discover how GIC invests in your professional development and career.

Locations

Our global offices enable us to actively source for opportunities, and partner with the best across all asset classes.

Singapore

Singapore

Headquartered in Singapore, GIC is one of the three investment entities in Singapore that manage the Government’s reserves, alongside the Monetary Authority of Singapore (MAS) and Temasek. We manage most of the Government’s financial assets, investing for the long-term with an aim to preserve and enhance the international purchasing power of the funds placed in our care.

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New York

New York

Not all Sovereign Wealth Funds have a presence in New York, so GIC has a distinct advantage in having an office here. While you have countless opportunities to be in the thick of this fast-paced environment, life is not all business, especially in this cosmopolitan and eclectic city that never sleeps.

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London

London

Passionate and creative; that’s a pretty good description of our London office. Here, the best and brightest collaborate and cooperate to keep up with our evolving, fast-paced industry. Working here gives you untold opportunities to experiment and innovate, as you tap into the energetic buzz of the office.

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São Paulo

São Paulo

Latin America’s emerging markets are highly competitive but offers great potential for long-term diversification. Our team is entrepreneurial, agile and works across diverse asset classes. And once the hard work is over, you might just find us at play – after all, São Paulo is Brazil’s largest city and the world’s seventh largest.

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