Responsible Asset Owners Global Symposia
Insights & Releases
We occasionally post information pertaining to responsible investing, be sure to read our archive of posts below.
Six megatrends shaping the future development of our world until 2050
Beyond mere demographics, people and society are at the core of our thinking
FRC encouraged by investors embracing the spirit of the UK Stewardship Code
Previously unsuccessful organisations have provided stronger and better tailored explanations on how they apply the Code more effectively
Getting Going on Monetary Tightening
When the going gets tough, the tough get going. Hum if you know the tune!
Decisions on observation and exclusion from Norges
Norges Bank has decided to place three companies under observation, end the observation of three companies, exclude one company and revoke the exclusion of one company.
Behind the B
What IS Behind the B and indeed, what IS the B? Read on to see what you’re missing.
Overview of P22 markets
What the people with USD 56,575 USD 56,575 bn assets think about the way ahead. But how will that be affected by the situation in Ukraine?
Ukraine and the U.S. Economy
In the week ahead, the world’s attention will continue to be focused on the horrific human consequences of the Russian invasion of Ukraine. However, American investors will also be considering what it means for financial assets
SWF and Public Pension Funds 2022: State-owned investors 3.0
The size of the SWF industry increased a 6% year-on-year in 2021 and exceeded the US$ 10 trillion mark for the first time in history.
The Agency of Greenwashing
As climate change increasingly challenges business models, the disclosure of firm environmental performance casts growing attention by corporate stakeholders
In uncertain times, its important to look at historical facts
A zero-lag, perception-based valuation metric
‘Delay is Death,’ says UN Chief António Guterres
IPCC says War Devastates the Climate and International Efforts to Preserve It
Can Capital Markets Save the Planet?
The role of capital markets in the transition to a low-carbon world.
ESG Improvers in Credit Investing
Amundi explores the impact of ESG as Improvers on the corporate bond market
The role, opportunity & challenges of green bonds
Green bonds have experienced strong growth at the global level and represent, as of 2021, a USD1.5 trillion market, with issuers including governments, supranational institutions, and corporates
Predicting the New Issue premium in High Yield
The “new issue premium” is a proven phenomenon in credit markets.
Why Biodiversity Is Moving to Top of Mind for Investors
The TNFD framework is intended to ultimately support a shift in financial flows toward nature-positive outcomes.
Economic Transition Monitor
Edition #1: December 2021
From Invesco’s Global Market Strategy Office
The race to replace the ISS: ‘A full-scale industrial revolution’
Nuclear Fusion & Commercial Space travel. Now THAT is the new reality. With investment opportunities for those leading the charge.
Ukraine: The Investment Implications of a Loser’s Game
Financial markets sold off last week as investors worried about a possible Russian invasion of Ukraine.
Is it a bird? Is it a plane? No, it’s what I did at the weekend…
Just another quiet weekend. No cape required.