With the global economy heavily reliant on ocean health, a sustainable future is paramount.
Central bank aims to provide financial support for renewable energy sources.
2022 work plan for sustainable finance focuses on assurance, carbon markets and reporting standards.
Massimiliano Tondi, Senior Portfolio Manager at KBI Global Investors, highlights ESG’s unique diversification characteristics.
Options are increasingly available to channel more funds to emerging markets but asset owners require scale.
Ratings, rights and renewables in focus as asset owners digest short- and long-term implications of the Ukrainian crisis.
Climetrics rankings reveal strong performance by leading French asset managers.
New framework for investors designed to complement TNFD.
2021 Responsible Investment report highlights focus on human rights abuses, corruption, aggressive tax planning.
Regulatory guidance required to steer growing private sector alignment with sustainability objectives.
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