Economist warns of “unsustainable recovery” as CA100+ launches sector-specific transition guidance for electricity utilities.
Alliance momentum builds, but admits to room for improvement on sector-based targets.
Despite gaining greater attention at COP26, water risks in portfolios are not always well understood by investors.
Continued lack of action towards mitigating climate risk increases the likelihood of more significant divestment from Australia.
Climate change “an imminent material financial” risk that US plan fiduciaries must consider, experts assert.
ESG Investor’s weekly round-up of news about funds designed to meet sustainable investing criteria, including HSBC AM, GIB AM, BNPP AM, SUSI Partners, ECBF, LGIM and NTR.
Josina Kamerling, Head of Regulatory Outreach, EMEA, CFA Institute, says Europe is only at the "beginning of the beginning" of its sustainability journey.
Investors call for blended finance to play a larger role in supporting climate adaption and mitigation in emerging markets.
Piers Williamson, CEO of The Housing Finance Corporation, explains how UK social housing is embracing environmental responsibilities to drive investment.
Shuen Chan, Head of ESG at LGIM Real Assets, outlines the benefits of a place-based approach to impact investment to real estate investors, property occupiers and the wider community.
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