I work on the missing infrastructure layer between biodiversity science and financial risk management. My focus is on auditing and validating the ecological signals institutions use to make capital, underwriting, and disclosure decisions. I specialise in diagnosing proxy risk and translating ecological uncertainty into decision-grade risk controls. In practice, that means helping banks, insurers, investors, and regulators move from vague ‘nature risk’ talk to stability and loss-prevention systems they can actually govern and defend.
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