Pan-European report shows extensive use of exclusion and integration strategies, greater focus on stewardship.
Report encourages UK institutional investors to ‘build back better’ with sustainable growth.
Climate commitments require ‘3D’ mandates to incorporate impact, alongside risk and return.
‘Cycle 2’ to focus on primary funds, tactical co-investment and secondary opportunities - aims to support clients’ Paris-alignment objectives.
United Nations SSE expects to publish climate-related reporting guidelines next year.
Conflict risk the single most prominent ESG criterion in asset-weighted terms for institutional asset owners.
Risk/return profiles need to favour private investors to escalate capital flow to emerging markets.
Companies challenged to deliver “tangible evidence”; FCA and BoE outline strategies ahead of COP26 at Green Horizon Summit.
Panellists discussing the Bill urge institutional investors to move away from prioritising maximum returns to focus on long-term, broader impact.
Transparent reporting, tangible outcomes and consistent voting against management identified as main signs of successful engagement.
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