$100M+
Capital Raised
For project investors globally
50+
Investor Base
Climate funds, AIFs, HNIs
2-3
Months to Close
From sanction to disbursement
10+
Lender Relationships
Banks, NBFCs, DFIs, Infra Funds
Capital Stack
Full-Stack Financing Coordination
We structure and raise the complete capital stack—from equity investors to institutional lenders—providing single-window financing solutions globally.
Equity
25-30%From Project Investors
Target Returns
12-18% IRR
Risk-adjusted infrastructure returns
Investment Period
20-25 Years
With early exit options available
Structure
SPV Equity
Clean shareholding with governance rights
Exit Options
Flexible
Secondary sale, refinancing, or full term
Investor Categories
Debt
70-75%From Institutional Lenders
Interest Rate
Base Rate + 1.5-2%
Competitive spreads on repo/SOFR
Tenure
15-20 Years
Aligned with PPA/project life
Moratorium
6-24 Months
Construction period grace
Security
Non-Recourse
Asset-backed, limited sponsor guarantees
PSU Banks
Private Banks
Infrastructure NBFCs
Development Finance Institutions
Infra Funds & Debt Funds
Financing Process
4 Steps to Financial Close
A proven process that de-risks capital coordination and accelerates project timelines.
Financial Structuring
Investor-grade financial modeling with comprehensive analysis.
Key Activities
- Detailed project financial model with 25-year projections
- Sensitivity analysis (tariff, generation, O&M costs)
- IRR, NPV, and payback period calculations
- Tax optimization including accelerated depreciation
- Working capital and cash flow modeling
Equity Arrangement
Source and structure equity from our global investor network.
Key Activities
- Investor matchmaking from 50+ partner network
- SPV structuring with clean governance
- Shareholder agreements and voting rights
- Investor documentation and KYC
- Board composition and oversight framework
Debt Syndication
Leverage pre-approved lender relationships for competitive terms.
Key Activities
- Access to pre-sanctioned limits with partner banks
- Term sheet negotiation and rate optimization
- Interest rate benchmarking (SOFR, repo-linked)
- Flexible repayment structures (moratorium, balloon)
- Security structure and collateral planning
Financial Close
Comprehensive close process with all stakeholders aligned.
Key Activities
- Lender due diligence support (technical, legal)
- Insurance arrangements (CAR, ALOP, liability)
- Security creation and charge registration
- Conditions precedent satisfaction
- First disbursement and construction funding
Financing Models
Choose Your Structure
Multiple financing models to match your capital preferences and business objectives.
Captive / CAPEX Model
Consumer owns the asset with bank debt financing. Full ownership benefits including depreciation.
OPEX / PPA Model
Third-party investor finances the project. Consumer pays only for power consumed.
Group Captive
Consumer takes 26% equity stake in SPV. Balance funded by investors with project debt.
Lease Model
Off-balance sheet financing with operating lease structure. Asset reverts or transfers at term end.
