Investing in essential infrastructure for a sustainable future

Welcome to CC&L Infrastructure

CC&L Infrastructure is an experienced owner and active manager of infrastructure assets.
Our team has a demonstrated track record of delivering critical, resilient infrastructure
assets to local communities while creating value for our investors.


As a leading Canadian investor, our focus is on making responsible
investments in high-quality, middle-market infrastructure assets that
support local communities. We target traditional and energy
infrastructure projects with highly attractive risk-return characteristics,
long lives, and the potential to generate stable cash flow.


$ 5.0 B

in assets under management

90 +



1.5 GW

of clean energy

4,000 +

operating employees across the portfolio

Our dedicated team of over 30 professionals
delivers consistent cash yield and long-term capital appreciation through:

  • A disciplined and differentiated investment strategy
  • Deep industry experience
  • Significant technical expertise and an active management approach

We offer institutional and high-net worth clients the opportunity to invest in our established and diversified portfolio of infrastructure assets, which has a track record of positive performance through a number of market cycles.

What sets us apart?

Our team is committed to a responsible and disciplined investment
strategy that reflects our history as a direct investor in infrastructure – we
have an ownership mindset, an active and hands on management
approach, and a long-term investment horizon.


From our initial principal investment, we’ve built upon our experience and
grown our business to create a diversified portfolio through which we
provide clients with access to the asset class.



Meadow Lake Wind Farm,
Indiana, United States
Port Allen Rail Terminal,
Louisiana, United States
Long Lake Hydro,
British Columbia, Canada

Clients of CC&L Infrastructure benefit from:

  • Proven investment strategy with a focused approach and strong track record.

  • Experienced team with deep expertise in the acquisition, construction, financing
    and management of infrastructure assets.

  • Access to an established portfolio of critical infrastructure assets that support the
    communities in which they operate, including significant investment in renewable
    power and energy transition projects.

  • Strategic partnership model provides differentiated deal flow, including proprietary
    investment opportunities.

  • Active and hands-on asset management approach focuses on optimizing operations to enhance performance.

  • Significant principal investment creates a strong alignment of interest with clients.



As long-term stewards of client capital, we believe that responsible
asset management is essential to protect and maximize investment value.

We believe that integration of Environmental, Social and Governance (“ESG”) factors is fundamental to a well-managed infrastructure portfolio.

Responsible Investment

We are committed to building strong and vibrant communities by supporting causes that are important to our clients, employees, partners, and stakeholders.

Corporate Social Responsibility

We have a team culture that promotes diversity and collaboration in order to achieve collective success. Lorem ipsum lorem ipsum lorem ipsum

Diversity and Inclusion


Working at CC&L Infrastructure means your experience, knowledge, and contributions will be recognized and rewarded.

Our team includes a diverse group of individuals with significant experience acquiring, constructing, financing, and managing infrastructure assets. We’ve built a collaborative and performance-driven culture, where individuals operate with an entrepreneurial spirit in order to deliver strong investment returns and exceptional client service.

Connor, Clark & Lunn
Financial Group Ltd.

CC&L Infrastructure is an affiliate of Connor, Clark & Lunn Financial Group Ltd. (CC&L Financial Group), the largest private, independently held asset management firm in Canada. CC&L Financial Group and its affiliates collectively manage approximately $104 billion in financial assets. Together, we provide a broad range of distinct and independently managed traditional and alternative investment products and services to investors through a diverse family of affiliates.