Nature and Finance.
We have four central business units - all of which use the latest software, computing, modelling and market data technology to address the needs of our clients from the financial service sector, infrastructure and real estate, (re)insurance and (state/city) funds.

Asset Management
Direct geospatial assessment of risk and opportunity dependencies on natural factors for invested assets across various asset classes, on average 67% dependencies identified – risk and opportunity (alpha) measures implemented.
(Re)Insurance
Investing in nature – satellite-based modeling of nature investments to mitigate climate change and save hundreds of millions of euros damages.

State Fund, Sovereign Wealth Fund
Leveraging on nature resources in order to raise capital for infrastructure investment – for (a state) funds with extensive natural, biodiversity, and forest resources based on sound (positive) natural capital accounting in accordance with international regulations and disclosure requirements – raising capital of over €500 million for use in infrastructure and technology investments.

Banking, Real Estate Value and Credit allocation
For one of the world's largest banks - assessment and classification of a real estate and infrastructure portfolio worth several billion euros in terms of its natural/climate resilience and the impact of this resilience on real estate values and lending/credit rates over time.

Nature Assessment & Rating
❑ Nature and finance assessment for opportunity and risk based on AI/image analysis and big (scientific) data.
❑ Modelling and rating of nature and climate dependencies for any type of asset class: commodities, companies/stocks, debt, insurance, infrastructure, land and forests
❑ Asset value and (credit) ratings based on nature
❑ Key nature and financial parameters/KPIs nature: CO2, O2, water, air, temperature (heat, drought, flood), plant and soil, biodiversity,... financial: asset, credit or risk value increase or decrease
❑ Disclosure and reporting

Nature Investment: Eco-
Financial Value Enhancement
❑ Optimization of asset (class) and insurance values in eco, climate, risk and financial terms
❑ Optimization scenarios for nature positivity to enhance asset value and mitigate risks, reduce climate damage.
❑ Measure, remedy implementation
❑ Disclosure and reporting

Recurrent Monitoring & Value Adaption
Especially nature assets and dependencies need to be monitored constantly as changes can happen quickly.
❑ Nature /natural growth asset monitoring (quarterly/yearly/...) and
❑ Financial value and risk evolution over time
❑ Certification, rating renewal
❑ Worldwide platform access

Nature Capital Raising, Bonds, Funds
❑ Bonds, raising of capital - i.e. based on ratings
❑ Structuring of (nature) bonds and investments for nature and financial improvement
❑ Contract management between the parties - asset/bond holder, landowner, financial services etc.
