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Real Estate

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  1. Finance for biodiversity: Guide on biodiversity measurement approaches

    This guide features six measurement approaches for financial institutions to assess their financial and investment activities’ impacts on biodiversity. It aims to assist financial institutions in developing a suitable impact assessment strategy and provides a comprehensive overview of each measurement approaches’ qualities, strategies, and features.
    16
  2. New nature economy report II: The future of nature and business

    18 July 2020
    This report provides an applicable agenda for businesses to contribute to the development of practical roadmaps that address the most important drivers of nature loss and build a nature-positive future. It is the second part of a three-part New Nature Economy Report series.
    16
  3. Looking beyond traditional gender lens investing approaches using Access Impact Framework in support of SDG 5: Gender equality

    31 December 2019
    This report describes how Cornerstone Capital's Access Impact Framework enables investors to invest in opportunities to achieve gender equality and empowerment of girls, aligning with Sustainable Development Goal (SDG) 5.
    16
  4. Rethinking food and agriculture 2020-2030: The second domestication of plants and animals, the disruption of the cow, and the collapse of industrial livestock farming

    14 September 2019
    Rethinking food and agriculture focuses on new technologies driving the transformation of the food and agriculture sectors and the implications for the cattle industry in the United States. It argues that 2020-2030 will see the current industrialised, animal-agriculture system be replaced with a Food-as-Software model.
    16
  5. Internal displacement from January to June 2019

    Internal Displacement Monitoring Centre's (IDMC) findings reveal the most significant displacements associated with conflict, violence and disasters around the world between January - June 2019. The report gives an insightful gauge of global displacements, 7.8 million triggered by disasters and 3.8 million by conflict and violence.
    16
  6. Getting physical: scenario analysis for assessing climate-related risks

    1 April 2019
    There has been a gap between understanding climate change and the implications it has for finance and the broader economy. This paper provides insight into scenario analysis - using data and climate science to provide more transparency on their financial risks in the medium and long term.
    16
  7. Pensions in a Changing Climate

    30 November 2018
    A critical review and gap analysis of the pension industry’s positioning in regard to the recommendations from the Task Force on Climate-related Disclosures. The review includes a rating index of the world’s 100 largest public pension funds with rankings linked to both their approach and engagement.
    16
  8. Got it covered? Insurance in a changing climate

    31 May 2018
    Climate change poses risks for the insurance sector. The 80 largest insurance companies were ranked and analysed according to their responsiveness towards climate-related risks and opportunities. Recommendations were established by determining leading practice, comparing approaches and evaluating the level of integration of climate risk into investment and underwriting activities.
    16
  9. Transition risks and market failure: a theoretical discourse on why financial models and economic agents may misprice risk related to the transition to a low-carbon economy

    18 June 2016
    The paper has a theoretical focus and looks at the risks associated with transitioning to a low-carbon economy. It looks to highlight externalities that may not be factored into risk models. It concludes in favour of a case of policy intervention and more sophisticated modelling to counter potential market failures.
    16
  10. ESG and corporate financial performance: Mapping the global landscape

    31 December 2015
    This white paper highlights whether integrating environmental, social and governance (ESG) criteria into the investment process has had a positive effect on corporate financial performance (CFP), whether the effect was stable over time, how a link between ESG and CFP differs across regions and asset classes and whether any specific subcategory of E, S or G had a dominant influence on CFP.
    16