In an oversubscribed market, greater opportunities for investors lie in social, sustainable, SLBs and blue bonds.
Physical and transition risks being incorporated into a more holistic approach by financial institutions, says UNEP FI report, as regulators increase scrutiny.
Despite development barriers, opportunities are emerging for investment in sustainable assets in growing market.
Only a “small number” issuing specific decarbonisation or net zero requirements; IGCC urges investors to “translate aspirations into action”.
Strategy looks to invest in issuers “actively” shifting towards renewables, environmentally sustainable practices.
Say on pay votes, climate, and board oversight all expected to be key themes for shareholders this year.
Asset owner-led initiative looks to expand breadth and depth of company, sector, asset class coverage on climate action.
Biodiversity “blind spot” a key issue due to lack of targets from all asset managers surveyed in global ESG performance report.
IAHR members highlight “growing anxiety” on human and civil rights risks emerging through the misuse of artificial intelligence.
Onshore lag and grid connectivity issues plaguing the UK and its European counterparts, despite capacity growth.
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