A multi-asset approach can offer a focused exposure to the climate theme, writes Craig Mackenzie, Head of Strategic Asset Allocation at abrdn.
Changes in the regulatory landscape mean the need for asset managers to accurately disclose their financed carbon emissions is becoming increasingly urgent.
Luc Olivier, Impact Investing Fund Manager, La Financière de l’Echiquier, outlines the opportunities available to investors through impact funds.
The transition to a low-carbon economy will yield many opportunities, but investors will require an integrated and disciplined approach, says Paul Quinsee, Global Head of Equities, J.P. Morgan Asset Management.
Long-term investors must prepare their portfolios for the changes ahead, says Steven Desmyter, Co-Head of Responsible Investment, Man Group.
FAIRR Protein Index reveals huge gaps in efforts by the world’s major food producers to combat emissions and waste products.
Scalability critical to flow of private finance to less developed countries to support energy transition, following lack of progress at COP26.
Post-summit, ESG Investor collates the thoughts of asset managers, NGOs, and other sustainable finance experts. Did COP26 deliver on expectations?
EFAMA report shows differences in green fund market share across Europe as interpretation and policing varies.
Agreement on Paris rules in Glasgow expected to stimulate investment flows, while wider deal seen as key, if limited, step on path to low-carbon transition.
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