⸻ INVESTMENTS

The investing

model.

Energile acquires renewable energy assets across Europe and creates value through active asset management — battery storage integration, technical enhancements, financing optimization, and commercial repositioning.

⸻ INVESTMENT FOCUS

Capturing the value gap

in European renewables.

Operational and RTB assets where underperformance is driven by commercial, technical, or financing factors — not permitting risk.


Asset management is at the core of Energile's value creation strategy — combining disciplined acquisitions with hands-on technical management and commercial repositioning to deliver capital growth and stabilized cashflows.



We leverage deep market insight, rigorous underwriting, and disciplined debt structuring to enhance yield and improve asset resilience — achieving superior risk-adjusted returns across our portfolio.


By controlling every stage of the investment cycle — from sourcing to execution — we consistently transform undervalued renewable assets into high-performing, institutional-grade infrastructure.

I

Ready-to-Build Assets

II

III

⸻ VALUE CREATION

Four levers we use to create

value across the portfolio.

01

Battery storage

integration

02

Technical

enhancements

Repowering, equipment upgrades, performance optimization, and lifecycle extension to lift output and reduce O&M cost.

03

Financing

optimization

Refinancing, capital structure improvements, and debt repricing to lower cost of capital and improve free cash flow.

04

Commercial

repositioning

PPA restructuring, route-to-market improvements, hedging, and merchant exposure management to lift revenues.

⸻ APPROACH

Disciplined investing.

STRUCTURE

Aligned capital

OWN & OPERATE

Active management

We own and operate assets — focused on cash flow performance, and optimizing for project performance and returns.

GEOGRAPHY

Five European markets

Active across Spain, Portugal, Germany, Greece, and Italy — local execution within institutional standards.