Biodiversity “blind spot” a key issue due to lack of targets from all asset managers surveyed in global ESG performance report.
UK regulator, representatives from investment industry defend SDR fund labels as GTAG publishes new taxonomy guidance.
Robeco-managed asset allocation targets “diversified source of return” through balanced equity and credit portfolio.
Renaming trend may lead to a short uptick in greenwashing, but ultimately will accelerate the path to net zero and offer sustainable investors more choice.
Voluntary standard for funds has lukewarm reception from asset managers, as CFA Institute tackles broader ESG ambiguities.
Northern Trust Asset Management’s new passive strategy aims to meet investors' climate change and natural capital criteria.
Initiatives offer breakthrough for asset owners looking to align their sovereign debt investments with net zero; open door to engagement with governments.
Interest rate hikes prompted a decline in GSS bonds for first time last year, but declining inflation forecasts offer brighter outlook for fixed income in 2023.
Investment in the circular economy remains a moving target, as rising demand for critical raw materials widens the ‘circularity gap’.
ESG Investor’s weekly round-up of news about funds designed to meet sustainable investing criteria, including BNY Mellon, DWS, Milltrust Ventures, EFFV, SUSI Partners and responsAbility Investments.
Subscribe to our free weekly newsletter below and never miss a story.