For listed & public equity funds

Nature risk is in
every   holding.

Screen thousands of listed positions for nature-related financial exposure. Turn fragmented data into decision-grade signals for portfolio managers, stewardship teams and reporting.

Blue octopus illustration
Capabilities

What Darwin does for listed portfolios

Investment & stewardship cycle
Investment & stewardship cycle
Screening

Screen the full universe

  • Map nature-related impacts, dependencies and risks across thousands of listed issuers — from public and geospatial data, no questionnaires.
  • Surface concentration by sector, geography and pressure, and flag the names that drive most of your portfolio’s exposure.
Why it matters

The case for acting now

72% of companies

depend heavily on at least one ecosystem service. Yet only 5% have set goals for nature. The gap between exposure and action is where financial risk accumulates across your holdings.

The exposure-action gap is where risk hides.

~50% of portfolio impact

Across a diversified equity portfolio, most nature impact sits in a handful of sectors — food, materials, energy and utilities. Focused stewardship on a few names moves the needle on most of your exposure.

Nature impact is concentrated, not diffuse.

360° per holding

Darwin doesn’t stop at a top-line score. For your material positions it models pressures, impacts, dependencies, spatial footprint, sourcing risk, financial exposure and nature stress tests — the depth you need to act, not just to screen.

Zoom into the holdings that matter.

How we differ

How Darwin stands apart from other nature tools

Nature & Climate, united — across your whole book

Biodiversity, water, pollution and physical climate risk, assessed together for every issuer in a single environment. No siloed tools or fragmented views: you see the full picture and the trade-offs, at holding level and consolidated across the fund.

Granular & 360°, not just a score

Where most tools stop at a thin score per name, Darwin models each issuer in depth — pressures, impacts, dependencies, spatial analysis, financial exposure, sourcing risk and nature stress tests. Zoom into your material holdings and act on what’s behind the number, not just the screen.

Anchored in financial materiality

We translate nature exposure into euros — current risk, Value-at-Risk to 2050, and the value at stake across each issuer and your portfolio. Decision-grade numbers your PMs, stewardship teams and clients can act on, not qualitative ratings.

Quantify nature impact & risk across your listed portfolio.

From universe screening to stewardship and reporting — make nature a signal at every stage of the investment process.

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