Understanding impact as the third dimension of asset management, alongside risk and return, is key to assessing the long-term prospects for scheme portfolios, Schroders says.
Greater clarity around standards will make it easier for trustees to interrogate managers about how they are managing transition risk, says Nina Reid.
Integrate net zero targets into regulation
Helping firms 'get ahead' under SFDR
Addressing ESG risks has typically been easier in equities but there are many ways to do it in fixed income and LDI portfolios, writes Stephanie Baxter
Carbon capture, hydrogen, nuclear, electric vehicles (EVs) and renewables all set to benefit from £12bn government stimulus plan, but critics warn funding falls well short of the level required to trigger a green recovery.
Society’s view on plastic is changing rapidly. How might shifting to a circular economy affect companies in the plastic value chain?
Close Brothers Asset Management (CBAM) has launched a sustainable multi-asset fund and rebadged its Bond Income portfolio as a sustainable bond fund.
MSCI has launched eight indices to enable institutional investors to position their portfolios in line with the Paris Agreement to keep global temperatures within 1.5 degrees.