Large scale afforestation needs deeper roots in net zero investment strategies, according to Julian Poulter, Head of Investor Relations at the Inevitable...
Australia-focused report is part of wider effort to give asset owners greater certainty over pursuit of sustainable outcomes.
This week’s major stories impacting ESG investors, in five easy pieces.
Results highlight need for institutions to use common assumptions, refine analysis of individual companies and enhance methodologies.
Insurers, banks and superannuation funds face liability risk for failing to disclose, address and manage the effects of climate change.
All local and foreign financial institutions expected to adopt the basic recommendations within 24 months.
New Climate Adaptation Strategy encourages financial institutions to innovate and expand solutions.
Financial institutions expected to use guidance to bolster resilience to environmental risk and set tangible targets.
New reports shed light on how climate risks are taken into account by financial institutions and affect credit ratings.
Financial institutions told to encourage stakeholders to focus their financing activities on achieving economy-wide decarbonisation.
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