Skip to main content

Our Approach

Deep experience, data-driven strategy, careful execution. A simple formula, and one that has continued our success since our founding.

Why We’re Different

In our view, our broad based experience, quantitative approach and focus on disciplined investing makes us different. Hull Street Energy invests in middle market power companies that are strategically positioned for growth as North American fuel supply, generation, transmission, and behind-the-meter assets transition to support a more sustainable future.

solar panels overlooking a city at night

Broad Based Experience

Our team has extensive and wide-ranging experience buying, selling, owning and operating energy businesses. We have managed energy assets through their entire lifecycle from development to operation, to retirement and redevelopment. We have operated natural gas, oil, geothermal, biomass, hydro, solar and wind-powered generation stations—and provided electrical service to millions of customers. We have managed energy commodity, fuel handling, environmental compliance, retail supply and other related electricity service companies. We have worked for small start-ups to Fortune 100 companies; including independent power producers, electric utilities, investment banks and private equity investment firms.

Quantitative Approach

At Hull Street, we believe in a balanced integration of sophisticated financial and deep technical fundamental analysis. Our adept transaction pricing and structuring skills, substantial operating expertise and close attention to detail enable us to execute numerous complex power transactions efficiently.

The cornerstone of our systematic investment process is our proprietary quantitative valuation techniques, analytical tools and risk-management systems. Our quantitative analytics and investment protocols help us provide pricing to transaction counterparties in an expedient manner, and to achieve differentiated and attractive risk-adjusted returns for our stakeholders.

Computer screens in control room

Disciplined Investing

We are highly disciplined investors that maintain strategic focus. We are vigilant about measuring and managing risk through consistent and iterative optimization. And our surveillance of environmental risk is not political or theoretical; it is fiduciary. Our governance policies reflect a commitment and attention to delivering successful, multidimensional, long-term outcomes.