Asset owner related case studies
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Case study
Climbing up the sustainability ladder – a manager scoring framework for asset owners
Organisation name: Kempen Capital Management Signatory type: Investment manager Region of operation: Europe Assets under management: €73 billion Why we use ESG criteria to assess external managers Our asset owner clients are increasingly embedding ESG information in their processes for selecting and monitoring external managers. Therefore, it is ...
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Case study
Improving responsible investment through manager engagement
Organisation name: Aware Super Signatory type: Asset owner Region of operation: Australia Assets under management: AU$144bn Why we engage with managers after their appointment Responsible investment is an integrated part of our due diligence process. Engagement with managers after their appointment can result in a more collaborative relationship and ...
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Case study
Nippon Life Insurance Company
Nippon Life’s portfolio-level goal is for its general account portfolios to be net-zero by FY2050, and they believe this goal remains achievable through the actions detailed in this case study.
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Case study
Andra AP-fonden (AP2)
Integrating human rights considerations into all AP2’s activities, and contributing to net positive human rights development, to avoid risks linked to human rights violations.
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Case study
Brunel pension Partnership
Creating a Climate Change Policy that enables effective action, focused on real-world decarbonisation and transparency to its members for the remainder of the decade.
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Case study
NOW: Pensions
Engaging with policymakers to advocate for policies that address the gender pay and gender pensions gap.
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Case study
LACERS: Implementing an ESG risk framework
Developing a framework to identify and address material ESG risks
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Case study
Abeille Assurances: Aligning the portfolio to a net-zero trajectory
Moving beyond risk to seize climate-transition opportunities
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Case study
Neuberger Berman: Climate-integrated strategic asset allocation
Neuberger Berman’s Climate-Integrated Strategic Asset Allocation framework serves to incorporate climate risks and opportunities into top-down portfolio construction for multi-asset portfolios
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Case study
Öhman Fonder and Folksam: Taking on Amazon’s approach to human rights
Human rights case study
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Case study
KfW Capital: Paving the way for a more sustainable venture capital ecosystem
KfW Capital outlines the processes and frameworks it has developed to conduct ESG due diligence on venture capital managers.
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Case study
Wafra: Taking a holistic approach to ESG diligence in venture capital
Wafra Inc. discusses its practical approach to ESG integration, which focuses on financially or operationally material issues.
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Case study
VBV - Vorsorgekasse AG: VBV´s ESG incorporation process
Case study by VBV - Vorsorgekasse AG
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Case study
The Barclays Bank UK Retirement Fund: Integrating ESG factors into a DC Default Diversified Growth fund
Case study by The Barclays Bank UK Retirement Fund
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Case study
Andra AP-fonden (AP2): Aligning the portfolio with the EU Paris-aligned Benchmark
Case study by Andra AP-fonden (AP2)
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Case study
ABANCA Vida y Pensiones / ABANCA Seguros: ESG in Alpha 360 Methodology
Case study by ABANCA Vida y Pensiones / ABANCA Seguros