Our Activities
We operate as an active investor and portfolio manager — acquiring, managing, and growing real assets across energy, real estate, and alternative finance.
We operate as an investor and portfolio manager in strategic assets, with a focus on energy infrastructure, selected real estate, and long-term projects. Our approach is hands-on: we don't simply allocate capital and wait — we actively manage assets to ensure continuous performance and returns over time.
Our investment strategy is built on deep operational knowledge of each sector we enter. We conduct thorough technical, economic, and sustainability assessments before committing capital. Once invested, we maintain direct oversight and management involvement to optimize performance and mitigate risks throughout the asset lifecycle.
Geographically, our reach spans EMEA, Asia, and South America — pursuing opportunities wherever our sector expertise can generate durable, measurable value.
Thanks to our holistic approach, our partnerships go beyond capital: we provide our selected partners with ongoing advisory, investment analysis, operational and financial management, asset management, and development support.
Acquisition, revamping, and management of photovoltaic plants in Italy and across Europe. We specialize in optimizing existing installations and developing new capacity, leveraging leading-edge monitoring and analytics technologies to maximise performance across the asset lifecycle.
Development and investment in shared production and self-consumption models. We're pioneering collaborative energy solutions that benefit entire communities.
Premium residential properties and strategic real estate selected for long-term appreciation and income potential. We prioritize assets with strong revaluation prospects and energy efficiency upgrade capacity.
Mezzanine operations, club deals, and hybrid participation instruments in sustainable projects. Flexible structures designed for optimal risk-return profiles.
Operational Approach: We analyze risk, evaluate technical and economic sustainability, and directly manage assets — supported by advanced monitoring and analytics platforms — to ensure continuity of performance and returns over time. Our methodology combines quantitative analysis with qualitative assessment, ensuring we understand not just the numbers, but the underlying dynamics that drive asset performance.
The MGI Difference
Most funds allocate capital and delegate. We take a different path: every asset in our portfolio benefits from direct MGI involvement, from technical oversight to commercial strategy.
This hands-on model means faster identification of underperformance, quicker course correction, and a deeper understanding of the operational realities that drive returns.