Corporate Strategy

Amp is a global renewable energy infrastructure manager, developer and owner

Investment Strategy

Sectors

Solar, wind, energy storage, flexible response

Markets

North America, Asia-Pacific Region, Europe

Investment Strategy

Through our disciplined underwriting, strong country organizations, value-investing roots, and internal asset optimization capabilities we deliver premium risk-adjusted returns

Asset Type

Development stage and shovel-ready assets
Operating assets or special situation assets and platforms

Core Markets & Operations

Responsible Investing

Environmental, social and corporate governance are key parts of Amp’s underwriting

  • Amp is well positioned to take advantage of the thematic trend towards impact investing
  • Amp will become signatory to a responsible investing program in 2020
  • Underwriting process proactively identifies environmental and social risks on all Amp assets

Impact Investing Case Studies

  • 2018: Completed partnerships with indigenous tribes to decarbonize local communities by displacing diesel
  • 2012-2017: Completed innovative infrastructure improvements in Toronto District School Board schools
  • 2014-2015: Completed a renewable energy project in Jordan that provided power to one of the largest Syrian refugee camps