Oil & Gas

Bluebird Invest participates in the oil and gas sector through selective, asset-backed investments across the upstream and midstream value chain. Our focus is on opportunities where reserves, infrastructure, and contracted cash flows provide clear downside protection and long-term value visibility.

Investment Focus

We evaluate and structure investments in:

  • Producing and near-producing assets

  • Development-stage fields with defined reserves

  • Midstream infrastructure, including storage, transport, and processing

  • Service-linked assets supporting production and logistics

Priority is given to projects with established operators, transparent reserve reports, and strong regulatory standing.

Risk Management Approach

Oil and gas investments are assessed under a capital preservation-first framework, emphasizing:

  • Proven or probable reserves

  • Asset-level security and collateralization

  • Conservative price assumptions

  • Alignment with experienced technical and operating partners

Where appropriate, we structure investments with offtake agreements, hedging mechanisms, or minimum revenue protections.

Geographic Scope

Bluebird Invest evaluates oil and gas opportunities across Latin America and Select international markets with stable regulatory regimes

Each jurisdiction is reviewed for political risk, fiscal terms, and enforceability of contracts.

Strategic Role Within the Portfolio

Oil and gas serves as a cash-flow-oriented component within Bluebird Invest’s broader portfolio, complementing real assets, infrastructure, and energy investments. The objective is to balance yield generation with disciplined exposure to commodity-linked assets.

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