Issuers of ESG bonds benefitting from seven basis-point ‘Greenium’ as investor demand surges.
Directors and auditors will be held accountable by investors if carbon-intensive companies do not deliver in five key areas.
78% of executives across surveyed sectors worry climate risk could lose them their jobs over next five years.
Roadmap outlines staggered compliance timetable for UK asset owners and financial institutions.
Risk/return profiles need to favour private investors to escalate capital flow to emerging markets.
Companies challenged to deliver “tangible evidence”; FCA and BoE outline strategies ahead of COP26 at Green Horizon Summit.
Panellists discussing the Bill urge institutional investors to move away from prioritising maximum returns to focus on long-term, broader impact.
Investors risk placing “too much confidence in the data”, industry experts warn, leading to skewed assessments and predictions of capital risk and materiality.
Stewardship team of major US asset manager says increased interaction is encouraging, but reporting frameworks remain confusing.
US allocators and investors claim ESG factors “can provide better risk-adjusted returns” in the long-term, Cerulli reports.
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