
Rathbones examines the rapidly growing water consumption of AI-driven data centres — projected to reach 1.2 trillion litres annually by 2030 — and the financial risks this poses to technology companies operating in water…

Eastspring Investments' CIO Rudie Chan examines the structural growth drivers of global Islamic finance, including AUM trends (8.5% CAGR 2004–2016), demographic tailwinds, and the expanding sukuk market, while acknowledg…

Fiera Comox's Head of Natural Capital, Jeff Zweig, outlines the firm's Global Sustainable Timberland strategy, which targets a diversified portfolio of privately owned, softwood-dominant timberland assets in stable geogr…

GAM's Responsible Investment team reviews its proxy voting activity during the 2025 season, noting that board-related resolutions accounted for 32% of opposition votes, driven by concerns around independence, refreshment…

Drawing on the 2025 EAT-Lancet Commission's findings, BNP Paribas Asset Management outlines how institutional investors can help address the $15 trillion in annual negative externalities generated by the global food syst…
Wellington Management's 2025 Climate Report, prepared in alignment with TCFD recommendations and informed by IFRS S2, details the firm's approach to assessing financially material climate-related risks and opportunities…

Fiera Capital's Active and Strategic Fixed Income team outlines its Ethical Fossil Fuel-Free Fixed Income strategy, launched as a pooled fund in February 2025, which combines exclusionary screening of fossil fuel and eth…

This Amundi thematic paper assesses physical climate risks for Asian sovereign issuers using IPCC-based scenarios and Verisk's Climate Hazard Index, identifying South and South-East Asia (notably Singapore, Thailand, Ind…

This Amundi thematic paper examines the social risks arising across the AI value chain—including workforce displacement, algorithmic management, downstream discrimination, and child safety failures—arguing that deploymen…

Amundi's weekly market note argues that the ongoing energy crisis reinforces the strategic case for accelerating the green transition, with the European Commission announcing additional fiscal flexibility for energy secu…

Federated Hermes' Head of Asia ex-Japan Equity, Jonathan Pines, delivered a keynote at the Korea Corporate Governance Forum in May 2026, assessing progress on regulatory reforms aimed at closing the "Korea discount." The…

Brookfield's portfolio company Clarios has launched IdleLess™, an AI- and cloud-enabled connected battery platform that monitors vehicle battery conditions in real time to reduce fleet idling by up to 60%, delivering est…

Brookfield Energy presents two case studies—Isagen's community-led Guáimaro tree restoration program at the Sogomoso hydroelectric facility in Colombia, and Neoen's conversion of a 1,600-hectare parcel into a national pa…

Brookfield Real Estate's Australian Senior Living portfolio underwent a phased electrification program during its ownership period, reducing scope 1 emissions by 80% versus a 2019 baseline through power purchase agreemen…

The Calamos Sustainable Equities Team outlines a selective, risk-aware approach to investing in China's clean energy transition, emphasizing alignment with government strategic priorities such as the 15th Five-Year Plan.…

Janus Henderson, in collaboration with UC Berkeley's Dara O'Rourke, introduces its proprietary Climate Transition Assessment (CTA), a multidimensional framework evaluating corporate climate transition plans across four d…

Janus Henderson's Global Property Equities team examines how physical climate risks—including wildfires, flooding, extreme heat, and water stress—are materially affecting REIT fundamentals through higher insurance costs,…

Nordea AM's Head of Responsible Investments argues that ESG investing, particularly in the energy transition, is maturing rather than retreating, with clean energy economics increasingly competitive regardless of near-te…

IFM Investors' 2025 Annual Sustainability Report consolidates the UK Stewardship Code submission, Climate Change Report, and Sustainable Business Report into a single integrated publication covering sustainability progre…

KKR outlines its proprietary "ESG Credit 2.0" framework, developed in 2021 and embedded into its $73 billion private credit underwriting process, which uses a materiality-based ESG scorecard, UN SDG alignment analysis, E…
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