Net zero-committed asset managers still investing in laggard oil and gas majors, as pressure to stop financing new fossil fuel production builds.
Glencore’s ambitions to acquire Teck highlight how critical minerals race is fuelling consolidation in the mining sector, but responsible investors worry about...
Biden’s ambitions to eliminate fossil fuel subsidies are welcomed, but policy consistency is key.
A selection of this week’s major stories impacting ESG investors, in five easy pieces.
Alliance sets new guidance for oil and gas investments that is “sensitive” to energy dislocations.
While some argue banking on a technology in its infancy could undermine the climate transition, policymakers cannot turn their backs on supporting...
The world’s natural stores of minerals and metals are critical for battery-powered electric vehicles, but these reserves must be used responsibly.
A selection of this week’s major stories impacting ESG investors, in five easy pieces.
CCUS and blue hydrogen inclusion seen as slowing Canada’s net zero transition, while finance leaders urge stakeholders to “get on with it”....
UK regulator, representatives from investment industry defend SDR fund labels as GTAG publishes new taxonomy guidance.
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