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Wide range of alternative assets with a primary focus on sustainable energy sources

In the energy and infrastructure market, we work relentlessly to uncover and capture new opportunities.
Across a diverse range of investment strategies, we deploy our capital with the aim of generating industry leading investment results for our investors and capital partners

Primary aim of every investment are attractive returns that exhibit low market correlation while measurably supporting carbon neutrality.
Nexta Investment Management employs a solution-oriented approach to investment management, from the development and
implementation of a strategy, to the management of and exit from an asset.

As real asset investors, we create value by generating consistent, sustainable cash flows and making operational improvements.
The high-quality, long-life nature of our asset base tends to provide insulation from the extremes of market cycles with the ability to generate strong risk-adjusted returns across all market conditions.

Our firm’s independent, asset-specific investment teams utilise its extensive sector network and experience to screen the market for
potential investment opportunities. The investment teams are responsible for the due diligence analysis and economic assessment of
targeted assets. They identify the risks involved in order to determine the potential viability of investments and optimised risk-return profiles.
During the structuring of the investment, care is taken to align the structure as best as possible with the requirements of the investors.
An investment is made only if it passes the in-depth analysis of the investment, portfolio management, risk management, liquidity
management and valuation teams and due diligence by external advisors.
Once an asset has been on-boarded, Nexta Investment Management manages the asset over its entire lifetime to fully realise its value.
Our business has a number of advantages supporting cash flow growth and capital appreciation, and benefits from technological and geographical diversification. In addition, we sell the majority of our power and gas under long-term, inflation-linked contracts that allow us
to capture increases in prices over time.
We have fully developed operating platforms that allow us to maintain and grow our assets with on-the-ground expertise.
Investment case and asset characteristics

  • Access to a balanced and diversified portfolio of infrastructure investments
  • Stable cash flows, inflation protection and low GDP sensitivity
  • Long life “hard” real assets (20 years or more)
  • High up-front investment, with predictable ongoing operational cost profile
  • Long term performance history, with limited technology risk
  • Robust counterparties and regulated or quasi-regulated long-term contracts
  • Uncorrelated returns versus traditional asset classes
  • Market leading operational partners
  • Preservation of invested capital and significant cash distribution