All Case study articles – Page 11
-
Case study
Developing a robust and effective ESG integration programme in China
Case study by Harvest Fund Management
-
Case study
Engaging ICT companies to better protect children from sexual exploitation online
Case study by Christian Brothers Investment Services
-
Case study
The AXA Impact Fund: climate & biodiversity - making a difference
Case study by AXA Investment Managers
-
Case study
Analysis of the impact of an investment portfolio on society and on SDGs
Case study by VidaCaixa
-
Case study
FTSE developed TPI climate transition index – aligning a global equity portfolio with the climate transition
Case study by FTSE Russell, Church of England Pensions Board & Transition Pathway Initiative
-
-
-
Case study
AfricaGrow: a fund of funds for financing African SMEs and start-ups
Case study by Allianz Global Investors
-
-
Case study
Accelerating integration of green generalist sustainable investing style into mid-market infrastructure investing
Case study by ICG, Oceinde Communications
-
-
Case study
Corporate Governance 2020 Annual Study – performance of Latin American companies
Case study by GovernArt and Vigeo Eiris Chile SpA
-
Case study
Delivering outcomes by accessing ESG through multiple drivers of return in multi-asset portfolios
Case study by BlackRock Signatory type: Investment manager Region of operation: Global Assets under management: US$7.3trn Why consider ESG via multiple drivers of return Today’s low-return environment requires investors to draw on multiple return sources to meet objectives and maximise the efficiency of a portfolio’s risk budget. We ...
-
Case study
Layering climate goals onto a sustainable, risk-targeted, multi-asset strategy
Case study by Morgan Stanley Investment Management Signatory type: Investment manager Region of operation: Global Asset under management: US$665bn (30/06/20) To maximise returns over time while actively managing total portfolio risk, our Global Balanced Risk Control (GBaR) strategy invests in a broad, balanced asset mix. In our MS ...
-
-
Case study
Responsible investing in debt capital markets: unpacking governance for state-owned entities
Case study by Futuregrowth Asset Management
-
Case study
Integration of ESG factors into sovereign bonds: a case study of Russia
Case study by Colchester Global Investors
-
Case study
EU taxonomy alignment case study: KLP
KLP is a global investor, invested in over 7000 companies. Since 2000, aware of our responsibility as a global investor, we have steadily advanced ESG and sustainability efforts within our investments.
-
Case study
EU taxonomy alignment case study: PKA
Table styles ORGANISATION DETAILS Name PKA Pension Ltd Signatory type Institutional investor Region of operation Scandinavia Assets under management €44bn COVERED IN THIS CASE STUDY Asset class Green bonds Sector Mainly SSAs – sovereign states, ...
-
Case study
EU taxonomy alignment case study: VidaCaixa
ORGANISATION DETAILS Name VidaCaixa Signatory type Asset owner Region of operation Spain and Portugal Assets under management €93bn in 2019 COVERED IN THIS CASE STUDY Asset class Mainly fixed income including some green bonds (GBs) ...