We are energy sector specialists. As such, we invest long-term in high-quality, large-scale renewables and system-critical energy infrastructure – assets that play a significant part in the energy transition. Our geographically diverse assets make an important contribution to the worlds’ energy supply. At the same time, they generate stable cash flows for our investors based on regulated or contractually-secured income streams.
Our sector focus and unique global network allow us to proactively select and shape high-quality, proprietary investments. We rely on our specialized knowledge and dedicated in-house team to develop and realize ambitious growth plans for our assets. This stable and long-term collaboration enables us to deliver resilient value to our stakeholders at all levels.
The consideration of risk is an integral component of our investment management approach. On an ongoing basis, we are closely following the risk environment of our managed assets with the objective of proactively tackling those risks. A dedicated risk management team and industry-experienced asset owners ensure adherence to best-practice standards.