With more than 12 years of experience, EPM has established itself as one of Europe’s leading infrastructure debt platforms. By financing critical infrastructure across the European Union, we enable investors to generate tangible and measurable benefits for both the real economy and the environment.
Drawing on a highly experienced investment team with complementary, multi‑sector expertise and strong structuring capabilities, we have the ability to finance complex infrastructure projects of varying sizes—from mid‑size proprietary transactions to large‑scale market deals. This approach allows us to capture both a complexity premium and an illiquidity premium for our investors, thereby strengthening the risk‑return profile of their portfolios.
Through an origination strategy tailored to the objectives of each fund we manage, we also ensure broad sector diversification for our investors.
Vintages
Invested since inception
Projects financed since inception
Our origination process is built on the principles of autonomy and independence, ensuring full alignment with the interests of our investors.
We collaborate with a broad network of intermediaries across the infrastructure market—including bank origination, syndication, and sales teams, industrial sponsors, investment funds, financial advisors, and asset sale specialists. By leveraging the long-standing industry connections of our team, we gain access to a broad range of investment opportunities across sectors and geographies, spanning both the primary and secondary markets.
Our origination strategy is tailored to the objectives of each fund and aligned with current market dynamics, ensuring we source transactions that best fit our investors’ risk‑return profiles.
We apply a highly selective approach, focusing only on infrastructure debt opportunities with strong fundamentals and a clear risk‑return balance. We only invest when we have full conviction in the robustness of the underlying assets, the strength of their financial structure, and their alignment with our ESG standards. This discipline allows us to build portfolios that deliver stable, long‑term returns for our investors.
Our Strategies
This strategy targets European infrastructure projects aligned with Objective n°1 of the EU Taxonomy. Classified as SFDR Article 9, it aims to contribute to climate change mitigation by focusing primarily on the energy transition, energy efficiency, and clean transportation.
This strategy focuses on financing green infrastructure projects as well as brown‑to‑green assets. Classified as SFDR Article 8, it targets both assets eligible for Objective 1 of the EU Taxonomy and those with a clear and materialized decarbonization trajectory.
Bérénice Arbona
Head of Infrastructure Debt
Jean-Marie Tassel
Investment Director Infrastructure Debt
Tuan Au-Quang
Investment Director Infrastructure Debt
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We specialize in private asset solutions and are here to help you achieve your financial goals.
Contact our team today to explore how we can build tailored solutions to support your needs.