Rich pickings await the asset owners willing to work with the natural cycles of private markets strategies focused on farmland and forestry.
Private credit is readying itself to finance Europe’s defence supply chain, but investors will need to tackle trade-offs before stepping onto the battlefield.
Resilience recognised as critical to sovereign risk and transition planning, as asset owners lead greater focus on physical climate risks.
UK public-sector pension pool increases scrutiny of managers’ climate engagement efforts with new “data-driven approach”.
The Silent Crisis in a Shifting Market As global pension schemes and institutional investors consolidate, the asset management industry faces a subtle yet profound challenge: remaining relevant in a world of fewer, larger, and more discerning clients. Traditional strategies, broad...
Asset manager’s Head of Fixed Income hopes market expansion will eliminate need for the purely green bond-focused vehicle within the next decade.
Mirova seeks to support SDGs with investments in Global South agriculture and agroforestry underway.
Transition investment trend expected to flourish further, despite geopolitical uncertainty.
Assets in Luxembourg-domiciled ESG funds continue to rise, but institutional investors are broadening their horizons as tensions build between short- and long-term priorities.
After muted early expectations, impact label under the UK’s green fund rules has outperformed expectations, reflecting global growth trend.
Subscribe to our free weekly newsletter below and never miss a story.