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Develop and market sustainable finance products and services

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  1. Greenwashing risks in asset management: Staying one step ahead

    The practice of greenwashing is a key regulatory concern in the UK, EU and globally. Greenwashing involves making misleading statements about sustainable products. This report examines how greenwashing occurs and the regulatory initiatives that have emerged to combat this. The report provides five steps firms can take to prevent greenwashing.
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  2. A market review of nature-based solutions: An emerging institutional asset class

    20 May 2021
    This report presents a global review of nature-based solutions (NbS), identifying and analysing 88 existing NbS investments between 2002 to 2021. The report identifies common trends of existing investments, both opportunities and barriers to NbS investments and suggests recommendations to institutional investors and policymakers.
    16
  3. Project Sage 3.0 – Tracking venture capital, private equity and private debt with a gender lens

    Project Sage 3.0 is the third part of a series, examining the landscape of gender lens investing in venture capital, private equity and private debt from 175 surveyed funds. Key findings see a 58.6% increase in gender focused capital and an increase of over $2 billion in capital raised.
    16
  4. Sustainability-linked bond principles: Voluntary process guidelines

    This report introduces the Sustainability-Linked Bond (SLB) Principles and provides guidelines for structural features, disclosure and reporting, to bring integrity into the SLB market. The guide is intended for market participants and designed to drive the provision of information to increase capital allocation in these instruments.
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  5. ESG considerations in fixed income: Observation of 10 ESG integration trends

    31 March 2020
    This paper shares key ESG integration trends that Russell Investments has found in the fixed income market. It is based off observations derived from their 2019 Annual ESG Manager Survey and discussions with fixed income market practitioners looking at ESG considerations and implementations in their investment process.
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  6. Moving mountains: Unlocking private capital for biodiversity and ecosystems

    The Biodiversity Finance Initiative (BIOFIN) seeks to expand private sector contribution and collaboration in biodiversity conservation by developing this guide to assist their understanding of biodiversity and role of private capital in sustainability. This guide aims to assist the private sector in developing finance solutions for biodiversity conservation and finance.
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  7. Multi-asset investments: Managing sustainability from a total portfolio perspective

    31 March 2019
    Integrating environmental, social and governance (ESG) criteria into existing portfolios involves considerations beyond benchmark tracking and diversification such as budgets for governance and risk as well as portfolio impacts of different types of ESG implementation. The report explores ESG portfolio integration as well as outlining trade-offs in portfolio management.
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  8. Global corporate green investment and the UN Sustainable Development Goals: How green bonds can help close the funding gap

    This research identifies the potential for increased green bond issuance to support the green investment needs of large global publicly traded companies across all sectors. Comparing companies’ business as usual (BAU) to pathways aligned to the Sustainable Development Goals (SDGs), case studies illustrate how green bonds can support transitions to low-carbon business models.
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  9. Investing for impact: Operating principles for impact management

    The report describes nine principles for managing and measuring investments that seek to achieve a positive social or environmental impact. The principles may be implemented through different impact management systems and are designed to be fit for purpose for a range of institutions and funds.
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  10. SDG bonds and corporate finance: A roadmap to mainstream investments

    This report describes how a market for mainstream investments that contribute to the Sustainable Development Goals (SDGs), could be created with enough liquidity, scale, and diversification, to attract a range of investors. It inspires and guides companies, governments, and cities, to benefit from better funding while implementing the Paris Goals.
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  11. Mapping of global responsible investment best practices

    31 December 2017
    Responsible investment is gaining momentum globally as an integral part of asset management, incorporating Environmental, Social and Governance (ESG) considerations into investment decision-making. Inflection Point Capital Management analyses the efforts by a number of asset owners to implement responsible investment processes, and provides best practices for institutional investors to follow.
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  12. Impact investing: An emerging opportunity to add broader value?

    30 November 2017
    Large asset owners such as superannuation fund trustees have a responsibility not only to their member beneficiaries, but also to society at large. Investment decisions should manage both financial returns and societal impact. This report discusses opportunities and challenges faced by superannuation fund trustees in approaching impact investing.
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