Investment decision

More than ever, going beyond short-term management is becoming a necessity in a world in the midst of physical, economic and regulatory upheavals induced by climate change and and biodiversity decline. Our methodologies can be used to develop holistic or sector-specific sustainable investment strategies. Our climate, physical risks and biodiversity solutions can be used either on their own or combined, to cater for you unique needs.

Key features

69 sectorial modules

Allowing our client to have qualitative data for qualitative investment decision.

Direct support from a Carbon4 Finance analyst

To ask directly your question on the methodology; the results on a specific name or on the aggregation at portfolio level.

Specifics indicators

As emission saving, green/brown share, decarbonation trend for sovereigns,energy mix, fossil-fuel dependency for your specific investment strategies.

Your needs

For asset
Willing to have both qualitative detailed information on their investment and a direct support from climate and biodiversity expert.
For central
or private banks
Willing to benefit from a qualitative data across all their different sector and regions of activity.
For asset
Willing to have detailed indicators and data both at issuer level and at portfolio level of their investments.

Track Record


In 2015 Mirova and Carbon4 Finance co-created the first methodology for transition risks called Carbon Impact Analytics with the concept of emission saving and Carbon Impact Ratio.

Since then Mirova is using Carbon Impact Analytics methodology to access their transition risk and have impact through their strategy.


Contact us

Contact us for any questions you have about Carbon4 Finance