All Case study articles – Page 12
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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
Sustainable Development Goals (SDGs) as a tool for strategic asset allocation
Case study by Brunel Pension Partnership Signatory type: Asset owner Region of operation: UK Assets under management: £30bn Why SDGs can be a vital tool in strategic asset allocation Strategic asset allocation (SAA) is set by each of our clients on an individual basis. We use the Sustainable ...
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Case study
Accounting for extreme weather risks in strategic asset allocation
Case study by Ortec Finance Signatory type: Service provider Region of operation: Global Ortec Finance specialises in quantitative modelling of systemic climate-related risks and opportunities for use in strategic asset allocation and asset-liability management. We deliver quantified climate risk informed economic and financial scenarios. Why investors need to ...
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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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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
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Case study
Global Impact Partners SDG case study
Global Impact Partners advises governments, corporations, and non-profits on strategy and impact investment.
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Case study
First State Investments SDG case study
Signatory type: Investment ManagerOperating region: GlobalAssets under management: US$160.6bnPractice area: Engagement
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Aviva Investors SDG case study
Signatory type: Investment managerOrganisation name: Aviva InvestorsLocation of HQ: UKTotal AUM: US$423.6bnSDG goals/targets: SDG 7, 13Practice area: Investment practiceAsset class: Real assetsInvestment region: Global
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Actis SDG case study
Signatory type: Asset owner/Investment managerOperating region: Africa, Asia, Latin AmericaAssets under management: US$12bnPractice area: Engagement
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Case study
Building a diverse forestry sector through further education
Case study by Resource Management Service
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Case study
Integrating climate change in passive investments: A developed markets equity strategy
Case study by UBS Asset Management
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Case study
Balancing ESG ratings, carbon footprints and risk in index portfolios
Case study by BlackRock
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Case study
Aligning a passive equity portfolio with the SDGs
Case study by FTSE Russell & Pensioenfonds Detailhandel
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Embracing ESG investing through a sustainable multi-factor equity index
Case study by Robeco
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Case study
Developing a conscious selection framework for responsible investment in passive allocations
Case study by Pensioenfonds Metaal en Techniek