All Climate change articles – Page 20
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Case study
EU taxonomy alignment case study: ESG Portfolio Management
ESG Portfolio Management’s mission is to advise a diversified set of investment funds and mandates, including on ESG factors, SDG impacts and climate risk.
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Case study
EU taxonomy alignment case study: Carmignac
Carmignac launched a fund in May 2020 to support solutions for climate mitigation while actively engaging with companies to transition their business models and operations to a lower carbon paradigm.
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Case study
EU taxonomy alignment case study: Neuberger Berman
Neuberger Berman believes the implementation of the taxonomy can help shift global capital flows towards more sustainable economic activities and help prevent the worst consequences of climate change.
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Case study
EU taxonomy alignment case study: La Française
La Française has been involved in responsible investment for more than a decade and our Carbon Impact product series has been a key element of our ESG investment strategy.
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Case study
EU taxonomy alignment case study: Wells Fargo Asset Management
The EU Taxonomy offers some key benefits for users, including guidance on activities to prioritize for decarbonization, climate change adaptation and other environmental goals.
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Case study
EU taxonomy alignment case study: Impax Asset Management
Impax is a specialist asset manager focused on investing in opportunities arising from the transition to a sustainable economy.
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Case study
EU taxonomy alignment case study: AXA Investment Managers
AXA IM has established a definition of green investing for both investment and reporting purposes, using a grid organised around four green categories.
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Case study
EU taxonomy alignment case study: Morgan Stanley Investment Management
As the number of signatories to the Principles for Responsible Investment (PRI) rises, and ESG-integrated assets under management (AUM) across the world reach over $30 trillion, carbon emissions and global temperatures also continue to rise.
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Case study
Using climate change scenarios in asset liability modelling
Case study by BCI Signatory type: Investment manager Region of operation: Canada Assets under management: CAD$171bn Why ESG is vital for boosting long-term value Asset allocation is the main determinant of a fund’s overall risk and return and, therefore, is the most important decision that our clients ...
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Case study
Aligning strategic asset allocation to a +1.5°C world: a proposed framework
Case study by AXA Investment Managers
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Case study
A total portfolio approach to climate alignment, ESG integration and real-world impact
Case study by The Scott Trust Limited (Guardian Media Group) Signatory type: Asset owner Region of operation: UK Assets under management: £1 billion Why ESG plays a vital role in our asset allocation decisions The Scott Trust is the owner of the Guardian Media Group, which publishes The ...
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Case study
Climate change: optimal choices in strategic asset allocation are a must
Case study by ASR Nederland / ASR Asset Management (a.s.r.) Signatory type: Asset owner / investment manager Region of operation: The Netherlands Assets under management: €70bn a.s.r. is a signatory to both the Paris Agreement and the Dutch Climate Agreement and wants to play a leading role as ...
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Policy report
How government and investors can deliver net-zero in the US
[Region: US] This report sets out priorities for US federal climate policy which are economically feasible, readily implementable, and necessary. Policy reform can also represent a growth opportunity to enhance US competitiveness and retool large sections of the US economy.
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Blog post
Time for real assets investors to take the next step on climate change
By Simon Whistler, Senior Specialist, Investment Practices, PRI
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Podcast
The need for urgent action on climate
Waking up to science – how COVID-19 has highlighted the urgent need for action on climate change.
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Blog post
The challenge of tracking firm-level climate change exposure
By Zacharias Sautner, Laurence van Lent, Grigory Vilkov, Ruishen Zhang (All authors are from Frankfurt School of Finance & Management)
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Case study
STOA SDG case study
Signatory type: Private equity investor / Asset ownerOperating region: Developing countriesAssets under management: €180 millionSDG targets: SDGs 3, 4, 6, 7, 8, 9, 10, 11 & 13Practice area: Engagement for impact