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ESG 2.0: Measuring and managing investor risks beyond the enterprise-level

The Predistribution Initiative
This 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.
Research
6 April 2021

Sustainable funds U.S. landscape report: More funds, more flows, and impressive returns in 2020

2020 brought record levels of interest and fund flows into sustainable funds in the US as investors became increasingly concerned about COVID-19, climate change and social issues. The record flows were followed with an immense increase in the sustainable fund universe and outperformance over conventional funds.
Research
10 February 2021

Winning climate strategies: Practical solutions and building blocks for asset owners from beginner to best practice

ShareAction
Based on interviews with 22 leading asset owners, this 2018 report explores the best-practices landscape for managing climate risks and opportunities. The report identifies barriers faced by industry leaders and presents a framework of ten building blocks for other asset owners developing and introducing climate strategies.
Research
30 June 2018

Biodiversity: Unlocking natural capital value for Australian investors

Australian Council of Superannuation Investors
Commissioned by the Australian Council of Superannuation Investors (ACSI), this report has been produced to support the Australian investment community's understanding of how biodiversity loss presents a risk to their portfolios. It provides recommendations about actions that Australian investors can take in response to this risk, in preparation for the Taskforce for Nature-related Financial Disclosures (TNFD).
Research
22 November 2021

Investing for the climate in Asia

Asia Research & Engagement (ARE)
Are “green finance" and climate change gaining traction in the Asian financial sector? Asia Research and Engagement (ARE) reviewed the practices of 88 leading financial institutions across Asia-Pacific to find out. Growing momentum is discovered: 28% of banks and 30% of investors have incorporated climate change into their respective policies.
Research
1 September 2016

Market overview: Australia and New Zealand responsible investments Sep-20

ISS
A two page read that reports the annual growth of the Responsible Investment Managed Funds market within Australia and New Zealand. It offers insight into the composition of this market and a short snapshot into the performance of overseas equity trusts.
Research
10 February 2021

Beyond compliance in the finance sector: A review of statements produced by asset managers under the UK Modern Slavery Act

Walk Free
This report emphasises that investors should recognise their leverage towards addressing modern slavery risks in their financial activities, including investment portfolios and their supply chains. The report is part of a wider supply chain transparency project to advocate for Modern Slavery Acts globally, by engaging governments and partnering with businesses.
Research
18 March 2021

A research and learning agenda for the impact of financial inclusion

Consultative Group to Assist the Poor (CGAP)
There is consistent evidence of financial services contributing to improved well-being, yet the influence of contextual factors is largely unknown. The theory of change framework identifies several knowledge gaps that funders/researchers can address to develop a more accurate prediction of when financial inclusion policy will generate positive wellbeing outcomes.
Research
14 December 2020

Transition risks: How to move ahead

Kepler Cheuvreux
An analysis of how transition risks could impact the financial performance of companies through examples from the utilities, autos and steel sectors. This report provides insight into how the financial performance of companies in these sectors, and others, could vary in the future due to low-carbon economy transitions.
Research
30 July 2018

Finance and biodiversity: Overview of initiatives for financial institutions

Finance for Biodiversity Foundation
In collaboration with international organisations, the Finance for Biodiversity Pledge has developed an overview of the main biodiversity-related initiatives currently targeting financial institutions. The Overview features a summary of twelve major initiatives and defines its key activities, collaboration, delivery, and goals it aims to achieve.
Research
19 January 2022

Bankrolling plastics: The banks that fund plastic packaging pollution

Portfolio Earth
Banks continue to finance the global plastics chain, despite the significant risks of lender liability from the impacts of plastic waste. This report highlights the lack of development of any due diligence systems, contingent loan criteria, or financing exclusions at the banks when it comes to the plastic packaging industry.
Research
5 January 2021

Bankrolling extinction: The banking sector's role in the global biodiversity crisis

Portfolio Earth
This report explores the contribution of the banking sector to the biodiversity crisis and the destruction of nature as of 2019. The report ranks the 50 largest banks globally based on their financing of unethical operations, finding a large impact on deforestation, ecosystem destruction and overfishing.
Research
6 January 2020

From ‘why’ to ‘why not’: Sustainable investing as the new normal

McKinsey & Company
This guide is based on more than 100 interviews with institutional investors at a range of investment funds, about their experiences with sustainable investing. This guide offers insights on how to integrate environmental, social and governance (ESG) factors with the investment process to help investors capitalise on sustainable investing.
Research
25 October 2017

Getting physical: Scenario analysis for assessing climate-related risks

BlackRock
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.
Research
1 April 2019

Financing the civic energy sector: How financial institutions affect ownership models in Germany and the United Kingdom

Addresses the concept of civic energy concerning the municipal ownership of energy systems in the UK and Germany by contrasting their banking systems to demonstrate how social and cultural values have shaped the civic energy sector. In turn, this demonstrates the importance of financial institutions in the low-carbon transition.
Research
17 November 2015

Investing for impact: Operating principles for impact management

International Finance Corporation
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.
Research
1 February 2019
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