Adjustable Risk Indicators and Benchmarks for Green Infrastructure
We provide risk indicators and benchmarks to measure and monitor the financial performance of green infrastructure worldwide.
Our approach is unique: For markets located in Asia, Europe, the Americas, Africa, and Oceania, we aggregate on-the-ground historic asset-level performance data and overlay it with macro risk factors such as policy, regulatory, macro- and socio-economic, business cycle and weather. It enables us to incorporate forward-looking trend predictions into our indicators and benchmarks.
Acting on these predicted trends will radically improve your ability to make capital allocation decisions based on the expected performance of green infrastructure assets.
Our indicators and benchmarks can be calibrated in line with your trend expectations and compared across a variety of key metrics, including: geography, country, location, infrastructure category, investment vehicle, business model, climate and social impact.