At Rubicon Carbon we’re committed to bringing integrity and credibility to the voluntary carbon market. Learn more about our revolutionary, risk adjusted method to carbon portfolio management.
Our approach empowers companies to participate in the carbon markets with confidence.
Here are the highlights of what the whitepaper covers:
Rubicon Carbon's Approach to
Reducing Buyer Risk
Discover how our risk adjusted approach reduces risks for buyers of credits as in our portfolio management we account for gaps between the registered credits and actual environmental benefits of the project.
Overcrediting & Rubicon's
Carbon Credit Retirement
How did overcrediting happen? What should existing owners of carbon credits do now? Learn more about Rubicon Carbon's unique approach to managing carbon credit portfolios and retiring credits with no beneficiary from a risk adjustment buffer pool.
“I applaud Rubicon for being the first to take this step. This is a fantastic way to continue to fund and improve the quality of the existing market.”