-

Asset management industry has moved from ESG 1.0 to Sustainability 2.0
‘Integrating ESG across the whole investment approach is key to success’
-

Biden vs Trump: Infrastructure, green energy and fossil fuels
American loosening of climate standards could constrain the competitiveness of US exports, particularly energy–intensive ones.
-

Good Money Week: Managers share impact measurement best practice
This year’s Good Investment Review acknowledges a need for standardised measurement and reporting on impact
-

Investment managers mark World Energy Day 2020
Three investment companies share their thoughts on World Energy Day
-

ESG assets could grow to more than 50% of total European fund AUM by 2025
PwC report describes ESG as ‘the fastest growing area within the industry this decade’
-

ESG and pensions: The evolving landscape
RLAM’s head of responsible investment reflects on a year since the DWP implemented ESG requirements in pension schemes
-

Asset managers urged to use COP 26 as catalyst for achieving carbon neutral status
Senior management from Blackrock, Aviva Investors and Federated Hermes give evidence to Treasury committee
-

SFDR postponement: What does it mean for asset managers?
A leaked letter suggests a delay. How should fund groups use this time wisely?
-

What does the US election mean for responsible investing?
Quilter Cheviot’s Gemma Woodward explores the different ESG implications for a Trump or Biden win
-

The macro impact of combatting climate change in Europe
PGIM Fixed Income’s chief European economist Katharine Neiss explores three areas of opportunity for investors in European plans to combat climate change
-

Morningstar: Many ESG funds won’t be aligned with EU Taxonomy
Very low alignment between sustainable funds and EU Taxonomy, but it will change over time
-

City & Financial invites readers to ESG best practise virtual summit
‘Companies are coming under increasing legal and regulatory pressure to fully disclose their exposure to climate change’

