ABOUT GREENFOLIO
Research. Resilience. Responsible Finance.
👥 Who We Are
We are a research and analytics platform focused on fixed income markets across Africa and North America. We deliver actionable insights to investors, policymakers, and institutions navigating climate-aligned debt and frontier market reform.
Our dual-track coverage reflects two distinct but complementary missions:
→ Greenfolio Core provides ESG debt intelligence across the U.S. and Canada—tracking green bonds, SLBs, and municipal sustainability issuance with credibility scoring and investor sentiment overlays.
→ Greenfolio Frontier offers macroeconomic and capital market insights across reforming African economies—highlighting fiscal discipline, FX stability, and local bond market evolution to support greater international investor participation.
We believe that credible market intelligence can unlock capital flows where they’re most needed—whether to fund climate-aligned infrastructure in North America or to support reform-driven growth in Africa’s frontier markets.
Our Mission & Vision
→ Our mission is to bridge the gap between under-researched African capital markets and the global investment community—highlighting credible reform stories, macro stability, and local market innovation.
→ In North America, we track ESG debt with precision and transparency. In Africa, we spotlight the policy and market foundations needed to attract long-term capital.
→ Our Vision:
At Greenfolio Capital Solutions, we envision a world where sustainable finance is not a niche — but the mainstream. Where African capital markets are powered by transparency, climate intelligence, and data-driven innovation. And where investors—from Dakar to Toronto—can align profits with purpose.
→ We believe finance can be a powerful force for resilience, climate adaptation, and inclusive growth across frontier markets.
Our Core Values
1. Credibility First:
We prioritize transparency, data integrity, and methodological rigor—whether assessing ESG alignment or macroeconomic reform.
2. Reform as a Signal:
We believe that policy reform and institutional strength are key indicators of long-term investment potential in frontier markets.
3. Accessibility Through Design:
Our research is visual-first—using maps, scorecards, and dashboards to make complex data intuitive and actionable.
4. Dual Perspective, Global Relevance:
We connect insights across continents, helping investors understand how frontier innovation and core market standards shape global sustainable finance.
5. Independence & Impact:
We operate independently, with a commitment to producing research that informs capital allocation and supports market development.
Who We Serve
→ Institutional investors seeking credible reform and ESG benchmarks
→ Development finance institutions and climate platforms
→ Policymakers, sovereign issuers, and municipal agencies
→ Rating agencies, index providers, and ESG scoring firms.
Our Approach
Macro + Market Reform Integration → We analyze fiscal discipline, FX stability, and capital market reforms to assess frontier investment potential.
ESG Debt Intelligence → In North America, we track green bonds, SLBs, and municipal ESG issuance with credibility scoring and investor sentiment overlays.
Visual-First Research → Our reports and dashboards prioritize clarity—using maps, scorecards, and trackers to make complex data accessible.
Dual Coverage Tracks:
Greenfolio Frontier → Africa’s macro and market reform intelligence
Greenfolio Core → U.S. and Canadian sustainable fixed income.