Magellan Sep 2022 Infrastructure Strategy Update

By Magellan Asset Management | More Articles by Magellan Asset Management

Gerald Stack and Ofer Karliner, CFA, discuss the recent reporting season, the European energy crisis and provide an outlook for companies in Magellan’s Infrastructure Strategy.

 

 

The Magellan Infrastructure Fund offers investors an opportunity to invest in a specialised and focused global infrastructure Fund. It aims to achieve attractive risk-adjusted returns over the medium to long term while minimising the risk of permanent capital loss. The Fund comes in an unhedged version as well as a listed version with the ASX ticker code MICH.