Mariia Capital Logo

Responsibility

OUR Values

Mariia Capital is committed to disciplined, responsible investing underpinned by rigorous governance and fiduciary integrity.

Responsibility

  • Mariia Capital has a clear understanding of responsibility towards investors, shareholders, employees and the general public.  
  • For Mariia Capital, Governance, Risk, and Compliance (GRC) focuses on aligning strategic goals with a robust risk framework, addressing agricultural-specific risks (like weather, market volatility, and disease), and ensuring adherence to relevant financial, environmental, and food safety regulations. 
  • This involves the clear board-level policies, implementing controls for operational and supply chain risks, ensuring transparency in financial and ESG reporting, and adopting technology for continuous monitoring and risk mitigation.  

Governance

  • Mariia Capital’s strategic alignment defines how the company’s investment strategy aligns with its overall business objectives and the volatile dynamics of the agricultural market. 
  • Mariia Capital’s Committee and Management oversight establishes clear responsibilities for the Committee Members, Directors and Senior Management to oversee risk and compliance functions, ensuring they integrate into strategic decision-making. 
  • Ethical Conduct: Foster a culture of ethical conduct and responsible investment, encouraging balanced risk-taking behavior and learning from mistakes to improve operations. 

Risk Management

Mariia Capital identifies specific natural capital risks including:

  • Market Risks: Price volatility for commodities, shifts in consumer demand, and global market access. 
  • Environmental & Climate Risks: Impact of natural disasters, climate change, and disease outbreaks on crop yields and livestock. 
  • Operational & Supply Chain Risks: Production disruptions, input availability, and logistics challenges. 
  • Political & Regulatory Risks: Changes in tariffs, trade policies, subsidies, and export laws. 

ESG Risks: 

  • Mariia Capital evaluates and manages risks related to environmental sustainability, social responsibility, and governance, particularly the risk of “greenwashing”. 
  • Mariia Capital utilises risk quantification & monitoring.
  • Mariia Capital utilizes best practice tools to quantify the potential impact of violations and continuously monitor key performance indicators to detect anomalies and potential breaches. 

Compliance

  • Mariia Capital ensures regulatory adherence with a complex web of local, national, and international regulations governing agriculture, food safety, environmental impact, and financial reporting. 
  • Mariia Capital ensures financial transparency by implementing robust financial reporting to maintain transparency with investors and meet economic development goals. 
  • Mariia Capital maintains data security and privacy by implementing cybersecurity frameworks to protect sensitive financial and operational data. 
  • Mariia Capital promotes a proactive compliance culture shifting from a reactive “box-ticking” approach to a proactive culture of continuous improvement and regulatory engagement, by working with regulators as trusted partners.