Secure, Vetted, and High-Value Private Capital Opportunities
How the Capital Desk Operates — From an Investor’s Perspective
Moser Oil — Strategic Energy Capital & Asset Management runs a capital-first intelligence model. No high-pressure solicitation—only pre-qualified partnership opportunities that meet strict verification standards aligned with institutional expectations.
Pre-Investment Verification Protocol
- Operator Background & Performance Review — stewardship history, JV performance, financial soundness, investor relations.
- On-Site Confirmation — physical inspection of operations, infrastructure readiness, and asset positioning.
- Leadership Interviews — direct assessment of decision discipline and partnership alignment.
- Data Integrity & Model Verification — validation of assumptions, documentation, forward cashflow logic, and timelines.
Only opportunities that satisfy all criteria are introduced to our investor network.
How This Works in Practice
- On-ground confirmation to verify operations and positioning.
- Projected cashflow curves checked against historic analogs and available data.
- Capital structure clarity confirmed (control rights, WI/NRI accuracy, uplift terms, backend distribution logic).
- Operator eligibility validated against Moser Oil standards—structurally and operationally.
Only after all checkpoints are satisfied is an opportunity opened for investor review.
Investor Fee Policy — No Cost to Capital Partners
- No investor fees — no access, advisory, or placement fees.
- Operator-paid introduction — Moser Oil is compensated by operators only after successful deployment.
- Fee cap — operator introduction fee capped at 15% of capital raised.
- Long-term alignment — 5% alignment interest only on repeat capital between the same parties via Moser Oil.
This structure aligns Moser Oil with investor performance—not transactional fee extraction.
Required Review: Expert Guide for Investors & Operators - Oil & Gas Joint Venture Manual
All operators and investors review the Moser Oil Expert Guide for Investors & Operators - Oil & Gas Joint Venture Manual prior to access.
- Capital-aligned structuring for clean approval logic.
- Risk containment and expectation positioning—clarity before commitment.
- WI/NRI distribution language and profit sequencing for equity precision.
- Communication standards to maintain efficiency and trust.
- Standardized terminology and modeling used by high-trust investment groups.
Goal: ensure dialogue, structure, and expectations meet capital desk standards—eliminating misalignment before it occurs.