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Investment strategies that allocate across multiple asset classes (e.g., equities, bonds, real estate, alternatives) for diversification.

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The economic impact of ESG ratings

This report examines the impact of ESG ratings on fund holdings, stock returns, and firm behaviour. The study finds that only MSCI ESG ratings can explain the holdings of US ESG funds, and slow, gradual responses in ownership suggest that fund managers mainly use ESG ratings to comply with ESG mandates.
Research
15 January 2024

New EU guidance helps companies to combat forced labour in supply chains

European Commission
The guide provides practical advice on identifying, preventing, mitigating, and addressing forced labour's risk and translating international standards into concrete action. The guidance is in line with the previously published EU trade strategy and upcoming legislation on Sustainable Corporate Governance.
Research
13 July 2021

Human rights risks in Xinjiang Uyghur autonomous region: Practical guidance from investors

Investor Alliance for Human Rights
The guide sheds light on the ongoing human rights crisis in the Uyghur region of China, exposing a multitude of risks for investors. The report gives practical recommendations on how to assess exposure, engage with portfolio companies, and collaborate with stakeholders.
Research
4 August 2020

SDG action manager technical guide

United Nations Global Compact
This guide provides businesses with a web-based impact management solution to take action on the Sustainable Development Goals (SDGs) through 2030. The guide describes the overall structure, module design, baseline module, SDG-specific modules, scoring methodology, and development process of the SDG Action Manager in a concise manner.
Research
18 January 2020

Physical risk framework: Understanding the impacts of climate change on real estate lending and investment portfolios

Cambridge Institute for Sustainability Leadership
This report provides lenders and investors with a four-step process to assess the physical impact of climate change on their real estate and infrastructure portfolios. The report emphasises the importance of using insurers’ extreme weather models within this framework to estimate natural catastrophe risks.
Research
16 February 2019

Sustainable investing: Establishing long-term value and performance

Deutsche Bank
The study finds that corporations with a commitment to sustainable investing have superior risk-adjusted returns. While fund managers face challenges in capturing the outperformance with some exceptions, they have not generally underperformed. Integrated reporting can be used to improve the transparency and accuracy of ESG information.
Research
15 June 2012

Unlocking investment capital for Indigenous Peoples

Indigeneous, Land and Sea Corporation (ILSC)
This paper tackles the challenges faced by Indigenous communities in accessing investment capital. It explores capital requirements and common barriers to obtaining the necessary funding, providing recommendations to fill gaps in access, provide support, and facilitate positive partnerships.
Research
12 May 2022

Investor ESG guide on private security and human rights

Investor Alliance for Human Rights
This investor guide highlights that private security-related adverse human rights impacts are common and typically include excessive use of force, unfair working conditions and sexual exploitation. As fiduciaries, institutional investors are obligated to identify and mitigate these potential adverse impacts.
Research
30 January 2024

Guidance and questionnaire for assessing client sustainability preferences and motivations

Sustainable Finance Observatory
This report presents guidelines for investment firms to assess client sustainability preferences and motivations, and select financial products accordingly. The guidance outlines a three-step process toward a product recommendation and identifies keyword categories of sustainability preferences and motivational characteristics.
Research
20 September 2023

A practitioner guide for asset managers and asset owners to assess clients’ and beneficiaries’ sustainability preferences

Sustainable Finance Observatory
This report is a practical guide for asset managers and owners to assess clients' sustainability preferences. It introduces research questions based on contextual settings and presents general guidelines for conducting surveys and experiments. The report also includes key findings and insights for financial institutions and regulators to adapt to energy transitions.
Research
18 September 2023

CIMS vs. NZBA climate target setting: Cross-fertilizing best practices

Sustainable Finance Observatory
This report compares the NZBA and CIMS methodologies for climate target setting and identifies best practices for optimizing the mitigation of GHG emissions. By examining their differences and commonalities, the authors provide recommendations and suggest that combining the two frameworks could create a robust joint disclosure framework.
Research
22 February 2024

Market review of environmental impact claims of retail investment funds in Europe

Sustainable Finance Observatory
This report explores the environmental impact claims made by European retail investment funds and assesses their accuracy and possible ramifications. Findings reveal a high prevalence of misleading claims and a need for better guidance and regulation to address the issue. Short and long-term recommendations are proposed.
Research
13 September 2023

A sustainable finance policy engagement handbook

Principles for Responsible Investment (PRI)
This handbook introduces six principles outlining institutional investors' commitment to incorporate ESG issues in investment analysis, ownership policies and practices, and promotion of acceptance and implementation of the Principles. The report explains how responsible investors can engage with policymakers to promote a sustainable financial system.
Research
25 November 2022

Industry influence on biodiversity policy: A pilot study demonstrating industry associations’ engagement on biodiversity-related policy and regulations

InfluenceMap
This report reveals that industry associations representing key sectors and some of the largest companies in the world are lobbying to delay, dilute, and block critically needed biodiversity policy in both the EU and US. The vast majority of engagement on specific policies and regulations is oppositional, seeking to roll back, weaken, or block policy.
Research
24 October 2022

Putting pandemics behind us: Investing in one health to reduce risks of emerging infectious diseases

The World Bank
This report discusses One Health, an approach that recognises the interdependent nature of human, animal, and environmental health. It presents an investment framework designed to mobilise finance for pandemic prevention and reduce the risks of emerging infectious diseases.
Research
21 October 2022

A conceptualisation of sub-living wages: Liabilities, leverage, and risk

Harvard Business School
This report proposes an alternative approach for organisations to account for wages paid below the local living wage level through a firm's balance sheet, creating leverage effect as the organisation borrows from society, reflecting higher stakeholder risk. This can help investors, policymakers, customers, corporate managers and other stakeholders to assess an organisation's exposure to human capital erosion.
Research
15 June 2022
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