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energy field sector - Renown investment approach

A technology fund focused on
generating strong risk-adjusted returns

Renown is a technology fund that will make investments in growth-stage companies to help deliver energy stability.

Generating strong risk-adjusted returns is our priority but we welcome the positive impact that comes along with these investments.

“They are willing to go into things that have a little bit more uncertainty if they have real conviction about it. What sets them apart is their unique ability to hear a story and synthesize it into the most important details very quickly.”

Josh Brumberger

CEO, Utilidata

Three elements of our approach set us apart

Company Selection

Private market and macro skillsets

Our private market experience and comprehensive expertise in energy technology helps us choose companies that we believe are best positioned to capitalize.

The global energy ecosystem is highly complex, and our team’s extensive macro skillset is crucial for identifying where the world is headed and who will benefit.

Portfolio Management

Engineered optionality

Having worked with Louis Bacon at Moore Capital Management for many years, optionality and portfolio construction are central to our risk management methodology.

Exit

Defensible value

Understanding the rigor of public markets, we know what sells well. This expertise enables us to select private businesses with scalable, defensible value. We then focus on pinpointing the optimal time to exit and distribute returns.

We believe that technology can significantly enhance reliability and efficiency while ultimately reducing costs for consumers. This is where we invest.

Renown Capital Partners