Point of no returns 2025: A responsible investment benchmark of 76 of the world’s largest asset managers

Point of no returns 2025: A responsible investment benchmark of 76 of the world’s largest asset managers

19 May 2025

This report benchmarks 76 of the world’s largest asset managers on responsible investment across governance, climate, biodiversity, and social issues. Findings show stagnating progress, weak biodiversity policies, and continued fossil fuel investments, with European managers outperforming peers. Only a few demonstrate comprehensive responsible investment practices.

 

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