Petrocapita is built around the core premise that investments with direct or indirect exposure to commodities in a politically stable environment such as Canada will provide above average returns.
Our approach is value driven at the investment selection level with analysis at the macro level to provide insight into trends. We match sound macro-economic thinking with sound operational strategies to generate long-term returns by finding asset classes with:
- Strong macro drivers - favorable supply/demand situation
- Margin of safety – low asset prices or ability to acquire cash flow cheaply
Petrocapita continues to build a portfolio of conventional heavy oil production and midstream assets with a focus on low cost acquisition of cash flow.