With net zero commitments coming thick and fast, ESG Investor's first Countdown to COP26 webinar discussed how asset owners and managers can best monitor...
Even experienced risk managers face stiff challenges in developing a comprehensive response.
Lihuan Zhou, Associate at the World Resources Institute’s Sustainable Finance Center, identifies six climate actions for the private sector.
Fund managers have 12-15 months to comply with the requirements, which cover governance, investment management, risk management and disclosure.
World’s largest sovereign wealth fund details its frameworks for managing climate change; highlights carbon footprint and climate scenario analyses.
Venice provides a fitting backdrop as policymakers aim to build momentum on the road to Glasgow.
Climate risk-related risk weightings are seen as inevitable as investors and supervisors scrutinise sector’s climate policies.
Schemes do not have the data they need, but new reporting rules will drive "real world" change.
G7 leaders are not short of advice, nor lessons from local history.
Central banks warn: 13% of global GDP would be at risk by end of century, even before accounting for severe weather events.
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