Our Investment
Strategy and
Approach

Our approach is tailored to accomplish the objective of generating consistent, predictable returns for investors…

In line with our mission, we are seeking high quality investments in real assets that will be a catalyst to achieving a low carbon future. We apply a rigorous set of environmental, social and governance criteria to screen new investments. Our approach is tailored to accomplish the objective of generating superior returns for our capital partners, while adhering to ESG principles.  

Our investment approach is rooted in rigorous due diligence, strong risk management, a disciplined investment review process and the ability to structure creative and flexible capital solutions. 

We are independent asset managers, which means that our success is closely aligned with the success of our capital partners. Our long-standing relationships, and extensive industry knowledge, offer unique insights and access to proprietary opportunities which provide a competitive edge. 

 

Our Investment
Criteria

Focus on middle market opportunities, primarily in North America

Experienced management teams

Real assets with predictable cash flows 

Favorable regulatory frameworks 

Alignment of interests with our capital partners

Positive ESG impacts 

Strong governance protections 

Exit strategies/options