Investors are overcoming ‘known unknowns’ to address climate and nature risks, as reflected at a Boston roundtable hosted by S&P Global Sustainable1...
A selection of this week’s major stories impacting ESG investors, in five easy pieces.
Thierry Philipponnat, Chief Economist at Finance Watch, warns that economic modelling must evolve to prompt policymakers to take action on climate.
Michael Bushnell, Managing Director at Cardano Advisory, explains how UK pension trustees can turn imperfect climate scenario analysis to their advantage.
Recognition, but not acceptance, of temperature overshoot may become a necessity for investors, companies and policymakers.
Ben McEwen, Climate Analyst at Sarasin & Partners, outlines how capital markets continue to misprice climate-related risks due to a lack of...
A new report highlights the importance of asset owners stress testing investments in the face of rising demand for resources.
As he takes a different role, Mark Fulton, Founder and Project Director of the Inevitable Policy Response, says investors should expect an...
To address limitations in scenario analysis investors are likely to develop their own in-house models to fill sectoral and geographical data gaps.
Task Force on Climate-related Financial Disclosure reporting is not yet driving the climate strategy of pension funds, but the industry is learning,...
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