Delivering authentic active management.

Research-driven stock selection generates portfolios distinct from the market. We believe our high-conviction approach gives investors the best opportunities to earn superior results. 

2024 Infrastructure Outlook: Diversification Benefits Could Be Timely

Infrastructure’s inflation pass-through worked well in 2023, supporting earnings across the asset class, while its defense and diversification could make it valuable in 2024. 

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2024 Infrastructure Outlook: Diversification Benefits Could Be Timely
U.S. Economic Outlook: Beware Lagged Effects

U.S. Economic Outlook: Beware Lagged Effects

The economy is at the crux of this cycle, the most difficult period of headwinds. We expect the lagged effects of Fed tightening to slow economic growth during the first half of 2024 and we continue to maintain our base case of a recession as we move through this period.

Infrastructure Opportunities Amid Uncertainty

Infrastructure Opportunities Amid Uncertainty

Watch Portfolio Manager, Nick Langley discuss the drivers of recent listed infrastructure performance and highlight how stabilising real yields and strong company fundamentals are improving the outlook for the asset class.

Our Investment Strategies

Our strategies harness an active, bottom-up approach to stock selection that combines the market knowledge of long-tenured portfolio managers with the original research of a specialised group of analysts. 

Global Listed Infrastructure

Our specialist infrastructure investment team focus on global listed infrastructure securities and manage four distinct strategies, each designed specifically to meet individual investor outcomes.

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Equity Capabilities

We provide Australian institutional investors with access to a range of offshore equity strategies focused on the following three primary client objectives: high active share, income solutions and low volatility. 

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Infrastructure Funds and Investment Products

For investors in Australia and New Zealand, we are the investment manager for a range of global listed infrastructure funds and investment products, each with different characteristics to suit individual investor needs.

Explore the Australian Funds and Investment Products
Infrastructure Funds and Investment Products

Responsible Investing

Our approach to responsible investing

At ClearBridge Investments, ESG is not merely a screen or an overlay; it is part of how we conduct fundamental research and it defines how we think about all companies considered for investment in all client portfolios. 

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Responsible Investing

The investment approach to our actively managed strategies uses a bottom-up fundamental analysis in the research process undertaken within a rigorous analytical framework. In utilising this approach, we aim to generate consistent investment performance, promote sustainable business practices, and deliver successful long-term outcomes to investors.

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Asset Management is Our Sole Focus