Politics divides investment strategies as LPs and GPs continue to grapple with impact measurement.
Blended finance vehicles seen as key to attracting private investors.
Pension scheme says industry moving towards influencing debt issuers on ESG factors, requiring investors to “get smarter” on ESG reporting.
Dutch firm’s fifth impact-focused investment strategy launches amid continued demand for Article 9 funds.
LGIM to collaborate on the Swedish pension fund’s new strategy, which will target both portfolio and real-world impacts.
Framework seeks to create a shared understanding on a just transition; investors hope broader definition will help channel capital to developing markets.
Qontigo’s ISS STOXX Biodiversity indexes uses four-step stock selection process to minimise negative impact.
Cerulli white paper spotlights significant asset owner concerns over managers’ “overstating” or being “unclear” on sustainability commitments.
The initiative will adopt a top-down approach to facilitate investor stewardship at focus companies.
Folium Capital’s new fund meets “ever rising” demand for healthy foods and timber, while meeting environmental and social goals.
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