Why Tortoise Capital

By investing in the energy value chain since our founding in 2002, our team is deeply familiar with the companies, their management teams, and their performance throughout 
multiple recessions.

With our deep market knowledge and key relationships, we partner with companies for the long term who maintain good governance, strong environmental practices, and sound business strategies.

Taking to heart the phrase “trust, but verify,” we also lean heavily on our own in-depth research and financial analysis.

Our solutions give investors access to carefully curated portfolios within the robust energy sector, designed to deliver income, growth, and stability—even in volatile markets. We strive to deliver value to investors through:

Mitigation of sector-specific risks

Mitigation of sector-specific risks through proactive positioning to swiftly adjust strategies, sustain performance, and protect investor capital

Potential for significant, growing income

Potential for significant, growing income by leveraging predictable cash flows from energy value chain companies

Geopolitical hedging

Geopolitical hedging through the companies’ long-term, regulated contracts that help to protect from downside volatility from various upheavals

Inflation protection

Inflation protection via investments in energy infrastructure companies that are naturally protected against inflation

Resilience to economic shifts

Resilience to economic shifts, as the demand for energy tends to remain constant even in tougher economic times

Exposure to emerging megatrends

Exposure to emerging megatrends, as the energy value chain plays critical roles in AI, electrification, and grid reliability

Diversification within energy

Diversification within energy by investing across the entire energy value chain

Energy to Accelerate Change, Investments to Make it Happen

Our diverse mix of investment vehicles cater to the needs of both institutional and individual investors.