All HQ: Developed Markets articles – Page 6
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Case study
Engaging ICT companies to better protect children from sexual exploitation online
Case study by Christian Brothers Investment Services
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Case study
The AXA Impact Fund: climate & biodiversity - making a difference
Case study by AXA Investment Managers
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Case study
Analysis of the impact of an investment portfolio on society and on SDGs
Case study by VidaCaixa
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Case study
FTSE developed TPI climate transition index – aligning a global equity portfolio with the climate transition
Case study by FTSE Russell, Church of England Pensions Board & Transition Pathway Initiative
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Case study
AfricaGrow: a fund of funds for financing African SMEs and start-ups
Case study by Allianz Global Investors
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Case study
Accelerating integration of green generalist sustainable investing style into mid-market infrastructure investing
Case study by ICG, Oceinde Communications
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Case study
Delivering outcomes by accessing ESG through multiple drivers of return in multi-asset portfolios
Case study by BlackRock Signatory type: Investment manager Region of operation: Global Assets under management: US$7.3trn Why consider ESG via multiple drivers of return Today’s low-return environment requires investors to draw on multiple return sources to meet objectives and maximise the efficiency of a portfolio’s risk budget. We ...
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Case study
Layering climate goals onto a sustainable, risk-targeted, multi-asset strategy
Case study by Morgan Stanley Investment Management Signatory type: Investment manager Region of operation: Global Asset under management: US$665bn (30/06/20) To maximise returns over time while actively managing total portfolio risk, our Global Balanced Risk Control (GBaR) strategy invests in a broad, balanced asset mix. In our MS ...
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Case study
Integration of ESG factors into sovereign bonds: a case study of Russia
Case study by Colchester Global Investors
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Case study
EU taxonomy alignment case study: KLP
KLP is a global investor, invested in over 7000 companies. Since 2000, aware of our responsibility as a global investor, we have steadily advanced ESG and sustainability efforts within our investments.
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Case study
EU taxonomy alignment case study: PKA
Table styles ORGANISATION DETAILS Name PKA Pension Ltd Signatory type Institutional investor Region of operation Scandinavia Assets under management €44bn COVERED IN THIS CASE STUDY Asset class Green bonds Sector Mainly SSAs – sovereign states, ...
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Case study
EU taxonomy alignment case study: VidaCaixa
ORGANISATION DETAILS Name VidaCaixa Signatory type Asset owner Region of operation Spain and Portugal Assets under management €93bn in 2019 COVERED IN THIS CASE STUDY Asset class Mainly fixed income including some green bonds (GBs) ...
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Case study
EU taxonomy alignment case study: Wellington
ORGANISATION DETAILS Name Wellington Management Company, LLP Signatory type Investment manager Region of operation Global, North America, EMEA, Asia Pacific Assets under management €915bn COVERED IN THIS CASE STUDY Name of fund Wellington Management Climate ...
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Case study
EU taxonomy alignment case study: responsAbility
Case study by responsAbility Investments AG
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Case study
EU taxonomy alignment case study: SEB
ORGANISATION DETAILS Name SEB Investment Management Signatory type Asset manager Region of operation Stockholm, Sweden, Europe COVERED IN THIS CASE STUDY Name of fund We intend to implement the taxonomy in our systematic investment ...