Leading the transition to sustainable finance through expert portfolio construction and ESG integration.
Zorqentra was founded with a clear mission: to bridge the gap between financial performance and environmental responsibility. As sustainable investing evolved from a niche concept to a mainstream requirement, we recognised the need for specialised expertise in sustainable finance portfolio construction.
Based in Utrecht, Netherlands, we are positioned at the heart of Europe's sustainable finance transformation. Our deep understanding of EU regulations, combined with practical experience in portfolio management, enables us to deliver solutions that meet both regulatory requirements and investment objectives.
Today, we work with institutional investors, asset managers, and private clients across Europe, helping them navigate the complexities of sustainable investing whilst achieving their financial goals.
We are driven by the belief that sustainable investing is not just about doing good—it's about building resilient portfolios for the future.
To empower investors to build portfolios that generate positive financial returns whilst contributing to a more sustainable future. We achieve this through expert analysis, innovative portfolio construction techniques, and deep understanding of ESG principles.
A financial system where sustainable investing is the standard, not the exception. We envision a future where all investment decisions consider environmental, social, and governance factors as fundamental components of risk and return analysis.
We maintain the highest standards of professional integrity and transparency in all our client relationships and investment recommendations.
We continuously evolve our methodologies and embrace new technologies to deliver cutting-edge sustainable finance solutions.
Every portfolio we construct is designed to create positive environmental and social impact alongside strong financial performance.
Deep knowledge across sustainable finance disciplines, regulatory frameworks, and investment strategies.
Comprehensive environmental, social, and governance assessment methodologies.
Expert knowledge of SFDR, EU Taxonomy, and emerging sustainable finance regulations.
Advanced quantitative techniques for sustainable portfolio construction and risk management.
Climate scenario analysis and transition risk assessment for investment portfolios.
Recognition and milestones that demonstrate our commitment to excellence in sustainable finance.
Recognised expertise in EU sustainable finance regulations and compliance frameworks.
Building long-term partnerships with institutional and private clients across Europe.
Consistent delivery of sustainable portfolios that meet both financial and ESG objectives.
Join us in building a more sustainable financial future. Let our expertise help you achieve your investment objectives whilst making a positive impact.