US pension fund’s 2022 voting strategy will hold board members accountable.
Robeco survey highlights growing focus on decarbonisation, but suggests investors lack skills, tools to tackle biodiversity.
Ratings, rights and renewables in focus as asset owners digest short- and long-term implications of the Ukrainian crisis.
Russia’s increasing isolation is having mixed impacts on climate risks.
Canadian pension fund to eschew “blanket divestment”, emphasising role as “active investor and influencer”.
2022 will see stronger focus on biodiversity as investors show “teeth” to laggards.
Did COP26 move the needle for investors and provide greater clarity on the path to a net-zero global economy?
Consensus on divestment of fossil fuel holdings being the last resort is looking shaky.
Engagement encouraged on CCS usage as Asia-based investors attempt to get to grips with corporates’ decarbonisation strategies.
As the urgency of the climate crisis escalates, investors are under pressure to divest rather than engage with the oil and gas...
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