Sustainable Investment & ESG Advisory
Operating across the full sustainable investment value chain — from capital to measurable impact.
Full sustainable investment value chain.
RGB Green operates across the full sustainable investment value chain — from ESG-integrated portfolio management and green bond advisory, to direct investment in renewable energy infrastructure, strategic land, and precision agriculture.
We do not treat ESG as a compliance checkbox. Every investment we make, and every advisory mandate we accept, is assessed against both commercial performance criteria and genuine sustainability outcomes.
The clients we partner with
- Institutional investors requiring ESG-integrated mandates
- Pension funds and endowments seeking net-zero aligned portfolios
- Sovereign wealth funds with sustainability mandates
- Energy developers and utility companies
- Infrastructure funds investing in the energy transition
- Governments designing green finance frameworks and sovereign green bonds
- Corporate clients pursuing sustainability-linked financing
- Family offices and impact investors
Our strategic capabilities
Six service lines across the sustainable investment spectrum — each bringing authentic ESG credentials, deep sector expertise, and senior-level engagement from first instruction to final delivery.
ESG Portfolio Construction
Building diversified public and private market portfolios with authentic ESG integration, sector exclusions, and impact objectives embedded from inception.
Impact Investing
Designing and managing mandates with explicit, measurable social and environmental impact objectives alongside financial return requirements.
ESG Due Diligence
Comprehensive ESG assessment of investment targets, including carbon footprint analysis, governance review, supply chain ethics, and biodiversity impact.
Responsible Investment Policy
Designing, implementing, and reviewing responsible investment policies for institutional mandates, aligned to PRI, TCFD, SFDR, and UK Green Finance Strategy.
Stewardship & Engagement
Active ownership through proxy voting, company engagement, and collaborative investor initiatives to improve ESG performance across portfolio holdings.
ESG Reporting & Disclosure
Producing investor-grade ESG reports aligned to TCFD, SASB, GRI, and UK Stewardship Code requirements.
ESG integration that goes beyond the checklist.
- Net-Zero Alignment Planning — portfolio-level carbon accounting, Science Based Target setting support, and phased decarbonisation strategy for institutional investors.
- Greenwashing Risk Assessment — independent review of ESG claims, fund labelling, and sustainability disclosures for investors, regulators, and product issuers.
- Impact Measurement — explicit, measurable social and environmental impact objectives alongside financial return requirements.
- Stewardship & Engagement — active ownership to improve ESG performance across portfolio holdings.
Connecting sustainable capital to sustainable projects.
For Issuers
- Green bond framework design and independent second-party opinion coordination
- Sustainability-linked bond KPI selection, structuring, and step-up mechanics design
- Social bond and blue bond advisory for housing, healthcare, and ocean economy issuers
- Use-of-proceeds eligibility assessment and project selection framework
- Post-issuance impact reporting and annual review coordination
- Investor roadshow preparation, targeting, and execution support
- Transition bond and sustainability-linked loan advisory for carbon-intensive sectors
For Investors
- Green bond portfolio construction, universe screening, and impact assessment
- Greenwashing risk identification and independent verification support
- Impact measurement and portfolio-level sustainability reporting
- ESG-integrated credit analysis for sustainability-linked instruments and issuers
For Governments
- Sovereign green bond issuance strategy and framework design
- National green finance taxonomy development and regulatory alignment
- Climate finance mobilisation frameworks for development objectives
- Blended finance structuring combining public, multilateral, and private capital
Capital flowing to the energy transition.
Project Finance Advisory
Financial structuring, lender negotiation, and transaction management for wind, solar, storage, and hybrid renewable energy projects.
Renewable Energy Investment
Direct co-investment and fund investment alongside institutional partners across onshore wind, offshore wind, utility-scale solar, and battery storage assets.
Power Purchase Agreements
PPA structuring, negotiation advisory, and portfolio offtake strategy for generators and corporate buyers.
Energy Storage & Grid Integration
Advisory on battery storage, grid balancing, and smart grid integration — critical capabilities for the intermittent renewable energy transition.
Energy Digitalisation
Investment and advisory in digital platforms, SCADA systems, and AI-enabled asset management tools for renewable energy operations.
Carbon Credit Origination
Development, verification, and portfolio management of carbon credits generated from renewable energy and land-based carbon projects.
Just Transition Advisory
Supporting fossil fuel-dependent economies, regions, and workforces to plan and finance a credible, socially responsible transition to clean energy.
Asset Lifecycle Management
Technical and commercial asset management advisory across the full operational life of renewable energy infrastructure assets.
Disciplined deployment across the sustainability spectrum.
Defence & Security Strategy
Concentrated equity and credit exposure to defence technology, sovereign communications, critical infrastructure protection, and dual-use technology businesses with long-term government contracted revenues.
Resilience Infrastructure Strategy
Investment in essential service assets — water, energy, transport, communications, healthcare — selected for regulatory protection, inflation linkage, and national strategic importance.
Geopolitical Arbitrage Strategy
Opportunistic deployment in sectors experiencing structural repricing due to geopolitical dislocation: supply chain repatriation, friend-shoring of critical manufacturing, and accelerated defence spending.
Sovereign Real Asset Strategy
Long-term investment in land, natural resources, agricultural assets, and infrastructure aligned with food security, energy independence, and resource competition objectives.
ESG-Integrated Multi-Asset
Balanced allocation across equities, credit, real assets, and alternatives with full ESG integration, net-zero alignment, and responsible investment reporting.
Three geographies. One integrated platform.
RGB Green maintains active advisory relationships and in-country expertise across three principal geographies — each chosen for its strategic importance to our sovereign and institutional client base.
India
UK

