Responsible finance meets living systems: strategic insights
for nature positive investing.
Services > For Financial Markets
Investments are increasingly exposed to risks from biodiversity loss and natural capital depletion. At the same time, more and more evidence substantiates the investment case for nature, demonstrating that natural capital is a critical asset that underpins economic stability, financial performance and business resilience.
With our specialized methodologies for financial markets, we enable financial institutions to assess the impact of their investments on natural capital and translate effects on the flows of ecosystem services. We support you in assessing dependencies and value at risk, estimating the value of natural capital stocks within your portfolio, and uncovering strategic opportunities. By translating the interactions of your investments with nature into meaningful metrics, you seemingly integrate natural capital in your investment strategy. This is done using robust approaches and a strong focus on meaningful interpretation of results allowing you to move from insights to actions.
We provide a clear picture of how investment decisions affect natural capital within a given impact area, entire portfolio, sector, company, or individual asset.
Designed specifically for the financial sector, our service offers a unique opportunity to integrate nature into financial planning while ensuring compliance with mandatory regulations (e.g., EU Taxonomy, SFDR) and voluntary standards (e.g., UN Principles for Responsible Investment). We empower you to understand nature as an asset and demonstrate truly sustainable investments!
Estimation of Value at Risk (VaR) due to dependency on nature at Portfolio, Sector or Investment Level;
Natural Capital Quantification and Valuation in Financial Assets;
Natural Capital Data and Ecosystem Services Values Integration in Financial Disclosures and Reporting Standards;
Mapping of Natural Capital Opportunities at Portfolio, Sector or Investment Level;