At Global Capital BV, we are committed to delivering exceptional financial returns
Our investment approach is built on the principles of the triple bottom line, ensuring a strategic balance between financial performance, environmental impact, and social value. By integrating these core pillars, we drive long-term growth that benefits both our investors and the broader global community.

Triple Bottom Line Framework
Leveraging Data Analytics and AI
Sustainable Finance
At Global Capital BV, we define sustainable finance as a strategic blend of financial structures—combining debt, equity, and educational initiatives for investment professionals and the teams behind real estate and business ventures. We prioritize third-party verification of economic performance and actively implement strategies to reduce carbon footprints, boost sustainability, and enhance revenue generation. This approach ensures that even assets not originally deemed sustainable can be upgraded and managed to achieve improved performance and long-term sustainability.

Criteria for Investment
At Global Capital BV, we evaluate potential investments based on their ability to deliver high yields, substantial growth, and long-term value. Our focus is on assets that can outperform the market, driven by unique revenue-generating opportunities. By strategically balancing investments in both established sustainable projects and those with potential for improvement, we ensure that our portfolio remains dynamic, forward-thinking, and poised for continued success.
Enhancing Sustainability
At Global Capital BV, we follow a rigorous process to enhance sustainability in our acquired assets. This includes conducting unaudited sustainability assessments, followed by expert evaluations and actionable recommendations for improvements. Our recommendations are carefully reviewed by both internal and external specialists, with collaborations from esteemed institutions such as Georgia Tech. We continuously monitor and upgrade our assets, ensuring they meet sustainability targets, reduce operational costs, and improve cash flows.
Investment Horizon and Exit Strategy
At Global Capital BV, we typically target investments of $50 million and above. Our exit strategy is designed for flexibility, with options such as refinancing when interest rates decline or taking companies public within five years. This adaptable approach allows us to respond to evolving market conditions and maximize returns for our investors.
Measuring Impact
At Global Capital BV, we prioritize transparency and accountability in measuring the environmental and social impacts of our investments. Using platforms like enrichedrealestate.com, we rely on third-party audited reports to track and report key sustainability metrics, such as utility usage, water flow, and overall environmental performance. Our commitment to integrating advanced technology ensures that these processes are both efficient and impactful, allowing for continuous monitoring and improvement.