Investment Opportunity

Capture the $10T natural capital opportunity through institutional-grade blockchain infrastructure and diversified revenue streams.

Investment Thesis

NCRB combines massive TAM, regulatory tailwinds, proprietary verification infrastructure, and dual revenue models to deliver outsized returns.

🎯 Massive Addressable Market

  • • $10T+ natural capital asset opportunity globally
  • • VCM projected $10-40B by 2030 (carbon alone)
  • • $200B/year biodiversity finance gap
  • • Underserved segments: soil, water, plastic, SAF

⚡ Perfect Timing

  • • TNFD and CSRD mandates driving corporate demand
  • • Net-zero commitments from Fortune 500s
  • • Blockchain infrastructure now institutional-grade
  • • Integrity crisis creating demand for verified solutions

🛡️ Proprietary Moat

  • • Proprietary verification & governance framework
  • • Integrated IoT, satellite, and registry infrastructure
  • • Smart contracts enabling fractional ownership
  • • Multi-asset architecture (carbon, biodiversity, etc.)

💰 Dual Revenue Model

  • • BaaS subscriptions (70% gross margin)
  • • Asset management fees (1.5-2% of AUM)
  • • Trading commissions (0.5-1% per transaction)
  • • Scalable with minimal marginal cost

Seed Round: $1M

Strategic capital deployment to build platform, secure pilots, and achieve regulatory compliance.

Use of Funds

Platform Development40%

Core infrastructure, smart contracts, security audits

Sales & Marketing25%

Pilot partnerships, market entry, brand positioning

Legal & Compliance20%

Regulatory clearance, multi-jurisdiction licensing

Operations & Team15%

Key hires, infrastructure, working capital

12-Month Milestones

Q1

Platform MVP Launch

Core tokenization engine, registry integrations, dashboard

Q2

Pilot Partnerships

2-3 Fortune 500 BaaS clients, first credit tokenization

Q3

Regulatory Compliance

US, EU licensing secured; TNFD alignment certified

Q4

Series A Readiness

$10M+ AUM, proven unit economics, Series A pitch

Economics & Growth Trajectory

High-margin revenue streams with capital-efficient scaling and predictable AUM growth.

Revenue Levers

Management Fees1.5-2%
Trading Commission0.5-1%
BaaS Subscriptions$50-200K

Margin Profile

BaaS Gross Margin~70%
AUM Fees Margin~80%
Blended Margin~65%

3-Year Targets

AUM$500M+
Annual Revenue$15M+
BaaS Clients20-30

Target Returns

8-12x

Multiple on invested capital

3-5 years

Investment horizon

Risk & Mitigation Strategy

⚠️ Regulatory Risk

Risk: Evolving digital asset and carbon market regulations across jurisdictions.

Mitigation: Multi-jurisdiction legal team, proactive engagement with regulators, modular architecture allowing rapid compliance pivots, advisory board with ex-regulators.

📉 Market Adoption Risk

Risk: Slower-than-expected corporate and institutional uptake of tokenized natural capital.

Mitigation: BaaS model de-risks via diversified client base; dual revenue (BaaS + AUM); pilot partnerships proving concept before full rollout.

🔒 Technology Risk

Risk: Smart contract vulnerabilities, blockchain scalability, or interoperability challenges.

Mitigation: Third-party security audits, multi-chain strategy, established infrastructure partners, continuous monitoring and incident response protocols.

Execution Risk

Risk: Team scaling, capital burn rate, or inability to meet milestones.

Mitigation: Experienced founding team with track record in ESG finance, tokenization, and environmental sciences; phased rollout with clear go/no-go gates; lean operations.

Exit Pathways & Investor Upside

Multiple liquidity options targeting 8-12x returns over 3-7 year horizon.

🤝

Strategic Acquisition

Climate-tech platforms, traditional financial institutions, or ESG-focused asset managers seeking to integrate natural capital capabilities.

Primary Exit (3-5 years)
💼

Secondary Sales

Institutional investors or family offices seeking exposure to natural capital infrastructure at later stages.

Interim Liquidity (2-4 years)
📈

IPO / Public Markets

Public listing on major exchange once AUM and revenue scales justify institutional analyst coverage.

Long-term Option (5-7 years)

Ready to Join?

Download our full investment deck or schedule a confidential investor call to discuss terms, data room access, and due diligence.