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Divestment and engagement: The effect of green investors on corporate carbon emissions

This report investigates whether green investors influence corporate carbon emissions by either divesting from polluters or engaging with management through stock ownership. The findings suggest green investors significantly reduce emissions through active engagement, whereas divestment strategies may counterproductively increase emissions. The report highlights private markets’ potential to address environmental issues independently of government regulation.
Research
27 January 2024

Investing in climate chaos' fossil fuel investment data

Urgewald
The Investing in Climate Chaos tool details companies and institutions' investments in fossil fuel sectors, including coal, and quantifies their exposure through shares and bonds. This resource aids finance professionals in assessing the financial implications of fossil fuel investments and informs sustainable finance decisions.
Online tool/database

FINRA fixed income database

finra
This database provides a comprehensive collection of market data for US fixed-income securities, including corporate and government bonds. It assists finance professionals in tracking pricing trends, ensuring transparency, and supporting informed investment decisions.
Online tool/database

An introduction to key ecological concepts, financial opportunities, and risks underpinning aspirations for nature positive

The report introduces key ecological concepts critical to achieving a nature-positive future. It outlines the financial opportunities and risks involved, emphasising the need for collaboration between ecologists and business professionals to effectively implement nature-positive strategies. The report also highlights the challenges and complexities in aligning ecological goals with financial instruments.
Research
31 July 2024

Asia in focus: ESG investing and the business and human rights agenda

United Nations Development Programme (UNDP)
The report examines the state of ESG investment in Asia, highlighting the challenges and opportunities faced by investors, regulators, and companies. It explores the rise of ESG funds, active ownership, sustainable bonds, and the evolving regulatory landscape.
Research
11 June 2024

Sustainable finance roadmap 2024

Australian Government
The Australian Government's 2024 Sustainable Finance Roadmap outlines a plan to mobilise private capital towards achieving net-zero emissions. It focuses on improving transparency in climate and sustainability reporting, enhancing financial system capabilities, and demonstrating government leadership. Key initiatives include mandatory climate-related financial disclosures, developing a sustainable finance taxonomy, and issuing sovereign green bonds.
Research
18 June 2024

Unleashing the potential of Islamic Finance: Global perspectives on achieving the SDGs with Islamic finance tools and concepts

International Federation of Accountants (IFAC)
This report summarises discussions from a roundtable on Islamic finance’s potential to advance the UN Sustainable Development Goals (SDGs). It explores the alignment of Islamic finance principles with the SDGs, highlighting the need for regulatory clarity, technical capacity building, and incentives to strengthen Islamic finance markets.
Research
7 June 2024

Net Zero Investment Framework 2.0

Asia Investor Group on Climate Change (AIGCC)
The Net Zero Investment Framework (NZIF) 2.0, updated in June 2024, provides guidelines for investors to align their portfolios with the Paris Agreement goals. It includes detailed methodologies for various asset classes, governance, strategic asset allocation, and policy advocacy, focusing on achieving real economy emissions reductions through independent fiduciary decisions.
Research
22 June 2024

How corporate climate change mitigation actions affect the cost of capital

This study explores how corporate climate change mitigation actions influence the cost of capital for Japanese firms from 2017-2021. It finds that higher carbon intensity increases the cost of equity, debt, and overall capital. Climate-related disclosures lower the cost of equity and overall capital, despite raising debt costs.
Research
20 May 2024

Public to private divestment in Asia: trends and best practice

Anthropocene Fixed Income Institute
The database of Asian mergers and acquisitions (M&As) in high-emission sectors reveals a steady, not increasing, trend from 2020 to April 2024. This shift of high-emission assets from public to private ownership, totalling USD 5-9 billion annually, raises concerns about reduced transparency and accountability in emissions reporting. While not accelerating, this trend has negative implications for investor stewardship and emissions disclosure.
Research
21 May 2024

Investing in nature: Opportunities for institutional investors

Green Finance Institute
This guide aims to assist institutional investors in navigating the evolving landscape of nature-based finance. It offers practical insights into various investment opportunities, showcasing case studies that exemplify best practices and innovative approaches in nature investments.
Research
22 May 2024

2024 XDI gross domestic climate risk report

Cross Dependency Initiative (XDI)
The 2024 XDI report ranks over 2,600 regions worldwide according to the projected damage to the built environment from extreme weather and climate change, including floods, wildfires and sea-level rises, and which of these regions are likely to see the largest escalation in damage from 1990 to 2050.
Benchmark/series
29 February 2024

ESG investing in emerging markets – a roadmap towards net-zero

BNP Paribas
This report discusses the challenges in ESG investing for emerging markets due to varying standards in regulations and reporting. It also covers the importance of sovereign engagement and incorporating biodiversity in investment decisions. The lack of standardisation in data and regulation presents difficulties in generating sustainable investments.
Research
12 December 2023

Biodiversity in the balance: Hedging portfolio risks

Sustainalytics
The report illustrates increased NGO reporting, land use, and biodiversity incidents linked to industrial firms. With 31% of companies having no official management initiatives, investors are eager to address portfolio risks from biodiversity loss and deforestation. The report connects land use and biodiversity controversies with various risks, including operational, credit, market, physical, and systemic.
Research
9 January 2024

The elephant in the room: Aligning global bonds markets with climate goals

Sustainable Finance Observatory
The global bond market is crucial for the achievement of the Paris Agreement's climate goals. This report analyses the alignment of corporate bonds with these goals while identifying challenges and proposing potential solutions, including the use of asset-level data and revaluation of benchmarks.
Research
26 June 2018

Sovereign bonds: Spotlight on ESG risks

Principles for Responsible Investment (PRI)
This report explores the use of environmental, social, and governance (ESG) analysis as a potential risk-reducing and return-enhancing tool for investors in developed-country sovereign bonds. The report suggests that ESG factors are material to both creditworthiness and investment performance.
Research
6 September 2013
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