Institutional investors are focusing on understanding, measuring and managing climate risks in their portfolios, but the toolbox for physical risks is still...
Financial institutions urged to mitigate risks posed by water-stranding events to portfolios and loan books.
Greater scope and depth needed to keep pace with demand for more holistic approaches to climate risk management by banks and investors.
Multiple versions will be open to feedback over 18-month period ahead of finalisation in 2023.
It’s not yet clear companies are on the same page as shareholders, let alone wider stakeholders.
Strap in for a bumpy start, both to the year and the journey to a green and equitable future.
ESG Investor’s weekly round-up of news on technology and tools in the sustainable investing sector, including Morningstar Indexes, Impact Cubed, Eka, Persefoni,...
Asset owners expected to increase focus on social-related issues, says Mercer.
Even experienced risk managers face stiff challenges in developing a comprehensive response.
Companies have largely avoided scrutiny on climate, but investor pressure could be a catalyst for change.
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