Investment Fund 16
Repositioning, operational improvement, moderate risk.
Repositioning and operational improvement programs across telecom infrastructure assets carrying moderate execution risk.
Fund Size
$1.581B
Committed capital
Target Net IRR
13-18%
Over 15-year fund term
Strategy
Repositioning, operational improvement, moderate risk.
Fund 16 deploys capital into telecom infrastructure assets requiring active repositioning, including lease-up of under-utilized capacity, network upgrades, tenant re-negotiation, and operational turnaround. The strategy accepts moderate execution risk in exchange for enhanced returns as assets are stabilized and repositioned toward core characteristics.
The fund is structured as a Delaware Limited Partnership with a discrete general partner entity, independent LPA, and audited financials prepared by PwC. Telvo Capital Management, LLC serves as investment manager.
Terms
Institutional fund terms.
StructureDelaware Limited Partnership
Investment ManagerTelvo Capital Management, LLC
Fund Size$1.581B
Term15 years plus two 1-year GP extensions
Investment Period5 years from initial close
Preferred Return8% per annum
Carried Interest20% with 100% GP catch-up
WaterfallEuropean whole-fund
LP Minimum$10 million
Target Net IRR13-18%
AuditorPwC
Legal CounselLePore Law Group
Key PersonAlexandra Pohl
Institutional Capital