All Alternatives articles – Page 43
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Blog: Measurement and reporting are critical to sustainable investing
One of the key challenges facing the sustainable investment industry is to be able to report reliably and meaningfully to investors on the environmental, social and governance (ESG) aspects of investment portfolios, explains Jane Ambachtsheer, global head of sustainability at BNP Paribas Asset Management, in this video.
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Global Sustainable Outcomes - News & Views Q4 2019
In 2015 the UN set 17 global sustainable development goals and 169 targets to encourage corporate and government action in areas of critical importance to humanity and the environment. These targets were all set for 2030, meaning this new decade is crucial in achieving our ambitions for a better planet for all.
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Responsible Investment Quarterly Q4 2019
Responsible investment (RI) continues to evolve at pace but, as we look towards the year ahead, the key RI themes are already evident: technology; regulatory changes; enhanced analytics; active use of voting rights; and thematic issues (eg, climate change or the sustainable development goals). Much of this reflects the growing focus among policy makers and regulators seeking to mobilise private capital in response to the broader public policy agenda.
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Personal Values, Responsible Investing And Stock Allocation
We analyze the portfolio choices of approximately 965,500 active participants in employee saving plans in France. Looking at the cross-section of equity exposure, we find that the inclusion of responsible equity options in the menu of available funds is associated with a 2.4% higher equity allocation by plan participants.
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The Circular Edition 1, 2020: keeping you in the sustainability loop
It’s a new year and a new opportunity to shine a light on sustainability. We’ve summed up our recent insights on environmental, social and governance (ESG) investing to bring you the latest edition of The Circular.
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Life after LIBOR: Two Years and Counting
An update on what regulators, markets and Neuberger Berman have been doing to prepare for the transition from LIBOR.
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Why solar energy’s prospects look bright for 2020
As the long-term transition towards renewable energy continues apace, we see a sunny outlook this year for solar energy companies, as well as onshore wind and energy storage.
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Blog: The Paris climate targets require investors to act
On the subject of achieving the Paris climate targets, Jane Ambachtsheer, Head of Sustainability at BNP Paribas Asset Management, is forthright. She says the world will not hit the mark of capping global warming at 1.5 degrees Celsius if we wait for governments to act. That judgment helps explain BNPP AM’s drive to ensure that investments contribute to attaining the climate goals.
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ESG Investing In Corporate Bonds: Mind The Gap
This research is the companion study of three previous research projects conducted at Amundi that address the issue of socially responsible investing (SRI) in the stockmarket (Berg et al., 2014; Bennani et al., 2018a; Drei et al., 2019). The underlying idea of this new study is to explore the impact of ESG investing on asset pricing in the corporate bond market.
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Private assets in 2020: What next?
Interest in private assets will continue to grow over the next year. Our experts across private equity, private debt, real estate, infrastructure and insurance-linked securities, highlight what to expect.
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A pioneer of responsible investing
Since our first CEO openly challenged a major UK company to improve its governance, to our current leader Saker Nusseibeh being awarded a CBE for services to responsible business, the international business of Federated Hermes has been at the forefront of responsible investing.
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Secure income and green infrastructure: an unlikely marriage?
How to source stable, long-term cashflows with a strong ESG focus
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Setting the standard for sustainable agriculture
Businesses, governments, and people from all walks of life are increasingly recognizing sustainable and responsible business practices as crucial to confronting some of the world’s most pressing economic, social, and environmental challenges.
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Amplified: the future of finance is female
In this episode of Amplified, Aoifinn Devitt, Head of Investment of Hermes Fund Managers Ireland Limited, is joined by Steve Chiavarone, a portfolio manager and equity strategist at Federated Global Investment Management and Louise Dudley, Portfolio Manager, Global Equities at Hermes Investment Management, to discuss research carried out by Chiavarone in his paper ‘Respect – The Ascendancy of Millennials and How the Future of Finance is more female’.
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Fiat Money Vs. Cryptocurrencies / Private Vs. Public Digital Currencies…
The first part of this study analysed the competition between USD, RMB and EURO and presented the challenges for China and Europe to develop a genuine international currencies, having the capacity to compete with the USD. However, currency competition goes well beyond the “simple” competition between sovereign currencies (USD, EUR, RMB, JPY, CHF…).
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FX wars vs. Currency Wars USD vs. EUR vs. RMB vs. …
The USD is by far the most important international currency, although declining in recent years, especially as regard central banks’ FX reserves. New currencies have emerged (of which the RMB), central banks diversify their portfolios (especially in Asia), while some “old” currencies gain ground (the JPY and gold, to some extent). Moreover, even if two contenders exist at present (the euro and the RMB), the USD is the only currency to be considered as an international currency as regard all its characteristics: reserve currency, invoicing currency, vehicle currency, reference currency …
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The Green Swan: Central Banking And Financial Stability In The Age Of Climate Change
Climate change poses new challenges to central banks, regulators and supervisors. This book reviews ways of addressing these new risks within central banks’ financial stability mandate. However, integrating climate-related risk analysis into financial stability monitoring is particularly challenging because of the radical uncertainty associated with a physical, social and economic phenomenon that is constantly changing and involves complex dynamics and chain reactions.
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Going Viral: The Coronavirus or a Central Bank Holding Pattern?
Wuhan goes on lockdown while the U.S. shifts trade truce considerations to Europe. Meanwhile, Central banks remain optimistic for strengthening global growth, and we’re vigilant for potential insurance cuts from the BoE next week.
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Flexible credit: six drivers of conviction
What are the key determinants of an active credit fund manager’s decision to invest? From curve and convexity through to sustainability and sizing, we assess six drivers of conviction.
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Why fixed-income investors should factor sustainability into investment decisions
Why should fixed-income investors factor sustainability into their investment decisions, and what are the approaches available to them? What drives an impactful engagement with a credit issuer? These are some of the key questions that our clients and prospective investors ask about ESG and engagement in fixed-income markets.