World at war: ‘Responsible investors should shun countries using force for territory expansion’
Risk of exposure to Ukraine-Russia and Israel-Gaza conflicts
Risk of exposure to Ukraine-Russia and Israel-Gaza conflicts
The sector was challenged by macro factors throughout 2022 but last year saw it rebound
Castlefield’s Ita McMahon explains how the team actively engaged with Unilever over its continued presence in Russia
Strategy available via three SFDR Article 9 compliant Luxembourg-domiciled funds
MSCI predicts fossil fuel consumption will peak by the mid-2020s
In the final part of this series, commentators reflect on the ‘teenage years’ of ESG and share their predictions for the year ahead
LGIM CEO Michelle Scrimgeour discusses the positives from COP27 for emerging markets
The director of corporate engagement Simon Rawson on escalating engagement strategies
Business leaders need to help maintain momentum, writes Quilter Cheviot’s Gemma Woodward
ESG funds see lower returns during conflicts, but they are more important than ever
ESG funds aren’t immune to the global economic shock
ESG funds aren’t immune to the global economic shock