Ian Spaulding, CEO of LRQA, says digital tools and analytics can play a major role in improving investor oversight of ESG risks.
Mounting global demand for the fruits of the sea means it is more important than ever to finance the industry’s climate transition.
Julian Poulter, Head of Investor Relations at the Inevitable Policy Response, explains how a new initiative could overhaul the commodities narrative for...
The risks and impacts associated with ocean pollution and degradation are vast, but “easy wins” exist for investors.
Investor appetite for a wider range of increasingly sophisticated ESG index derivatives is latent, according to participants at a virtual roundtable hosted...
A significant portion of solar and EV materials, essential to achieve emissions reduction targets, are produced in China's Xinjiang region.
MDB Sovereign Nature and Climate Initiative Aims to Build “Efficient and Effective” Market for Debt-for-Nature Swaps and Sustainability-linked Bonds.
Metrics used by investors to track climate- and nature-related risks should be treated with caution.
Investor Coalition for Equal Votes finds financial disadvantage in dual-class shares, as regulation on shareholder rights mooted at London conference.
Lessons learned by investors from climate risk management can be applied to nature where “urgency is paramount”.
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