2 RESULTS
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ESG 2.0: Measuring and managing investor risks beyond the enterprise-level
6 April 2021This paper discusses how current institutional investing practices and asset allocation strategies conflict with ESG objectives. It encourages institutional investors to review their systematic risk-management practices and recommends the diversification of asset allocation to more regenerative investment structures and asset classes. -
The little book of investing in nature
11 January 2021Governments and investors are increasingly aware of their responsibility in promoting biodiversity through finance. This book features a comprehensive guide to developing sustainable investment strategies and planning, investment activities to pursue and avoid, case studies of current and past efforts, and an overview of the investment options which promote biodiversity.