At Roil Energy Fund , our investment strategy is built on four guiding principles that provide a solid foundation for approaching investments: diversification, tolerance for illiquidity, a preference for equity, and a passive, non-speculative approach.

Our strategy is grounded in a deep understanding of specific industries, sectors, and regions, including:

  • The economic landscape of Latin America
  • Real assets and services in the energy industry
  • Broad, public financial markets

We are confident that our ability to deliver attractive returns to our investors, through both favorable and challenging market conditions, is rooted in our unique expertise and investment approach. This, combined with full alignment with our investors, strengthens the competitive edge of Roil Energy Fund.