UK asset owner now 10 years ahead of net zero target; switches climate engagement focus to auto sector.
Financial institutions urged to mitigate risks posed by water-stranding events to portfolios and loan books.
New frameworks can only go so far in managing evolving risks.
Rickard Nilsson, Director of Strategy and Growth at Esgaia, highlights evolving best practice aimed at reducing climate impacts across investment and lending...
Report offers recommendations for monitoring, managing and mitigating climate-related risks to promote consistent approaches.
UK bank faces investor scrutiny after shareholder rebellion over Credit Suisse climate plans.
Investor engagement with companies on climate change has come under the spotlight, with some warning of shortcomings with current processes.
Calls grow for new tools and new approaches to accelerate the low-carbon transition.
Incorporating welfare into investors’ wider environmental strategies and engagements is challenging but necessary, Robert Black, Manager, Responsible Investment, Chronos Sustainability.
ESG Investor’s weekly round-up of news about funds designed to meet sustainable investing criteria, including AXA IM, Nordea AM, WisdomTree, HANetf, Lion...
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