A team of leading experts in investment management
WieldMore Investment Management is an independent UK-based investment company authorised by the Financial Conduct Authority (FCA) and a Signatory of the United Nations Principles for Responsible Investment.
With over 100 years of combined experience in risk management and markets across major banks and global institutions, our team delivers bespoke solutions ranging from trade execution and hedging support to discretionary investment management.
OUR GOAL
Embedding Net-Zero Principles Across the Financial Sector
As an independent, privately-owned firm, WieldMore is dedicated to driving genuine progress toward net-zero by focusing solely on our clients' best interests.
Free from external constraints, we provide unbiased solutions that integrate sustainability seamlessly into financial strategies, ensuring that our clients lead the way in the transition to a low-carbon economy.
WieldMore’s mission is to empower our clients to integrate sustainability as a key driver of financial performance, ensuring progress towards net-zero goals without compromising core business targets.
Net-Zero Oriented Decision Frameworks
Our risk management and scenario analysis models support the development of net-zero transition plans, integrating sustainability risks into risk exposure assessments. We drive standardised methodologies to foster wider adoption of net-zero planning.
Open-Source
Objectivity
We use reputable science based open data sources, metrics, and climate pathways to enable data-driven decisions and ensure cost-effective performance for both enterprises and investors.
Financial
Resilience
Provide clients with tools and insights to identify their unique risk drivers, partnering with them to build resilience in their cash flows against evolving market, climate, and regulatory conditions.
ADVISORY HIGHLIGHT
WieldMore Carbon Risk-Free Curve
Through the WieldMore Sustainable Investment Framework, rooted in climate science, we create customised carbon risk-free curves for assets, industries, and countries, allowing financial performance to be measured against the 1.5°C and 2°C benchmarks of the Paris Agreement.
As the global economy increasingly values resource and emissions efficiency, our carbon risk-free curves provide a benchmark to assess the impact of carbon emissions on financial assets. This helps investors evaluate market re-pricing risks linked to CO₂-equivalent (CO₂e) emissions. By integrating these insights, we empower investors with the clarity needed to make informed decisions in a climate-conscious market.