Sustainable finance: Investing for a 2°C World

Manuel Coeslier, Equity Portfolio Manager at responsible investment firm Mirova, is also a Member of the European Commission’s Technical Expert Group on Sustainable Finance. Here, he explains why Mirova’s carbon impact methodology is helping to address the challenges at the next frontier of impact investing.

Mirova is an investment manager with €9.3 billion AUM that is dedicated to responsible investing. Earlier this year, Mirova unveiled its new ‘climate impact methodology’. It was the culmination of four years research into the climate impact of investment portfolios, and an ambitious project that aimed to develop investment solutions fit for a 2°C world.

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