What makes you different from other ESG funds?
Most ESG funds try to make every company investable by giving them scores and weightings. We take the opposite approach.
Exclusion vs. Inclusion
Instead of trying to score every company, we start by excluding companies with harmful business models. This eliminates 57% of the market, but it ensures we only own companies we can feel good about.
Open Source Methodology
Our screening criteria are completely transparent and available on GitHub. You can see exactly why we exclude certain companies and suggest improvements.
Active Management
We don't just buy ESG indices. We actively research and select individual companies based on both ethical and financial criteria.
Concentration
Rather than owning hundreds of companies, we focus on 15-25 high-conviction positions. This allows us to know what we own and why.
The result is portfolios that truly align with your values while still delivering competitive returns.