Many of the world's leading companies have a climate target, but only 5% have a biodiversity target.
Increased geopolitical tensions and heightened macroeconomic uncertainty will always lead to reassessed investment assumptions and market volatility.
As climate change intensifies, transparency and accountability has never been more critical. Royal London Asset Management has published its second Navigating the Climate Transition update, offering a look at its firmwide net zero strategy, progress, and future direction.
PP brings together all the appointments in the pensions industry over the past week
In this interactive video, choose a Royal London Asset Management expert and hear them discuss how asset managers identify suitable investment opportunities that meet with clients’ values without sacrificing value.
Royal London Asset Management was named UK Fixed Income Manager of the Year.
Collateral top-ups may be needed but pension funds are ‘far from another LDI crisis’
Investor group launched alongside engagement with four banks
The high yield market has seen significant shifts over the last few years. After a period of low borrowing costs, high interest rates have created a new environment. While strong companies are finding opportunities, riskier issuers could face challenges, says Azhar Hussain, Head of Global Credit, Royal London Asset Management.