Demonstrated Exit Strategy

Energy Investors Funds maximizes returns to and achieves liquidity for its investors by identifying and executing appropriate exit strategies based on continuous evaluation of the secondary asset sale markets, capital markets, and public markets.  The firm has demonstrated its exit strategy in liquidating and refinancing many of its funds’ investments.  The debt and equity providers for these secondary refinancings and sales have included financial institutions, private equity funds, utilities, strategic industry players, and independent power companies.

Energy Investors Funds has and will achieve liquidity for investors primarily from one or more of the following potential sources:

Current Cash Distributions

  • Fixed-contract cash flow under long-term power off-take contracts

Asset Sales

  • Sales of profitable single operating assets
  • Sales of aggregated portfolios of assets

Disaggregation and sales of integrated companies

  • Generation and transmission assets

Securitization of Assets

  • Recapitalizations of particular assets or portfolios of assets
  • Securitizations of assets and/or groups of investments


EIF Management, LLC


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