Our Funds
SIMCo manages a range of funds and accounts focused on high-quality infrastructure debt. We invest daily in essential economic infrastructure – tangible assets that support growth and capital formation – delivering disciplined, risk-adjusted returns for our investors.
SEQI
Sequoia Economic Infrastructure Income Fund is listed on the FTSE 250 Index of the London Stock Exchange (ticker: SEQI.LN) and issues shares in GBP. The investment objective is income and capital appreciation. The fund invests predominantly in economic infrastructure. These are fixed, tangible assets that make up physical capital, one of the three factors of production. These assets are required for economic growth and are important in the capital formation and final consumption stages of GDP. Broad sectors include transportation, utilities, power, renewables and telecommunications and the fund is well-diversified across these sectors globally. SEQI is AIFMD compliant and appeals to institutional investors as well as wealth management and multi-asset investment managers.
For more information, visit SEQI.fund
Key fund information:
SEQI Share Price Information
SIPCo
SIPCo is a Hong Kong-authorised, closed-ended fund, denominated in USD with fund-level currency hedging, structured as a public open-ended fund company with variable capital and limited liability, and invests primarily in senior and subordinated infrastructure debt across a diversified portfolio. The Fund combines global reach with sector expertise, allowing it to capitalise on infrastructure financing gaps across multiple regions. Its disciplined investment approach, seasoned management team and focus on high-quality infrastructure debt aim to deliver resilient, risk-adjusted returns for investors.
Managed by SIMCAP, a wholly owned subsidiary of SIMCo.
Private Funds & Accounts
SIDF
Sequoia Infrastructure Debt Fund is a closed-ended investment-grade/cross-over fund investing primarily in senior infrastructure debt in the European markets. It is an EU-AIFMD-compliant LP-GP fund domiciled in Luxembourg with EUR-denominated issued notes and units. The investment objective is income through investments in sectors such as transportation, utilities, power, renewables, telecommunications and social infrastructure.
CLOs
Collateralised Loan Obligations are structured investments that pool corporate loans and offer tranches with varying risk and return profiles. These provide investors with diversified exposure to high-quality corporate borrowers, complementing direct infrastructure debt and enhancing portfolio resilience and income generation.
SMAs
Separately Managed Accounts offer our investors a bespoke, professionally managed portfolio of infrastructure debt. This solution provides added transparency, direct ownership of assets, and tailored exposure to high-quality, income-generating infrastructure opportunities across global markets.