Energy bonds face ‘big default cycle’ warns asset manager
Renewable energy players could emerge more resilient from the shake up
Renewable energy players could emerge more resilient from the shake up
Bank hires CRO from rival, Liontrust makes fund manager promotion and ING looks to add trio to board
As expert group suggests interim scheme to accelerate launch
American Century Investments and Nomura Asset Management have launched an emerging markets impact fund
But asset managers are divided about how effective it will be
Which ‘aims to provide clarity for investors on what can be regarded as a sustainable investment’
Circular economy action plan ‘shows the way to a climate-neutral, competitive economy’
As ‘active funds don’t prove robust to volatility’
Research finds investments at best ignore key systemic risks and at worst contribute to them
“Together we can keep short-termism at bay,” says Calstrs, GPIF and USS
ESG ETF industry attracted $5.7bn in February, with $1.2bn in the last week alone
Strategy applies a planetary boundary framework to pick winners