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Public Securities

Investing in listed real assets can offer multiple benefits, including the potential for meaningful current income, long-term capital appreciation and inflation protection. Brookfield’s Public Securities Group* serves institutions and individuals seeking the investment advantages of real assets through actively managed listed equity and debt strategies.

We take a high conviction, value-oriented approach that is highly attuned to understanding the risks of investing, utilizing proprietary valuation tools and fundamental, bottom-up research to identify mispriced securities. We have been actively investing in the public markets since 1989 and currently manage more than $16 billion on behalf of financial institutions, pension plans, insurance companies, foundations, endowments, sovereign wealth funds and high net worth investors.

Real Estate Equities

Our global Real Estate Equities strategies seek to identify mispriced investments within a broad universe of real estate securities.

Available Strategies

  • U.S. Real Estate Securities Value Income
  • Global Real Estate Securities Alpha
  • Global Real Estate Securities Long/Short

How to Invest

We offer multiple points of entry to our Real Estate Equities strategies, including separately managed accounts, mutual funds, UCITS funds and opportunistic strategies.

Infrastructure Equities

Our Infrastructure Equities strategies provide exposure to long-life assets delivering essential goods and services to the global economy.

Available Strategies

  • Global Infrastructure Securities
  • Master Limited Partnership and Energy Infrastructure Securities
  • Global Infrastructure Securities Long/Short

How to Invest

We offer multiple points of entry to our Infrastructure Equities strategies, including separately managed accounts, mutual funds, UCITS funds, closed-end funds and opportunistic strategies.

Real Asset Debt

Our Real Asset Debt Strategy invests in publicly traded debt securities of global real estate, infrastructure and natural resource companies. Our objective is to provide investors with consistent returns across corporate high-yield and investment-grade debt of companies with tangible underlying assets, while maintaining an overarching focus on capital preservation.

How to Invest

Investors can participate in our Real Asset Debt Strategy through separately managed accounts and closed-end funds.

Real Asset Solutions

We invest in multiple asset classes across the capital structure and liquidity spectrum, offering a flexible, diversified approach to that can be customized to meet the specific needs of our clients.

Diversified Real Assets Strategy

Our Diversified Real Assets Strategy invests globally in the equity and debt securities of publicly traded companies that derive cash flows from real assets. This multi-strategy solution allocates actively to three liquid real asset classes: real estate equities, infrastructure equities and real asset debt. Our goal is to identify the optimal combination of assets that balance the investment objectives of portfolio diversification, inflation protection, capital appreciation and current income.

Real Assets Hybrid Fund

The Real Assets Hybrid Fund provides a single-solution to managing allocations across private funds and public securities in several real asset classes. This structure allows investors to diversify the drivers of risk and return across multiple investments, while also maintaining the liquidity to i) seek alpha-generating opportunities in periods of public-market dislocations ii) allocate to private markets across multiple vintage years and sectors and iii) meet periodic private-fund capital calls.

How to Invest

We offer multiple points of entry to our Real Asset Solutions, including separately managed accounts, mutual funds and UCITS funds.