Aligning with the Paris Agreement: An Index Approach

Climate-related risks, whether physical or related to a transition to a lower carbon economy, are changing the risk-return profile of individual companies and entire industries, leading to new and increased risks in investors’ portfolios.1

In turn, institutional investors are under pressure to align their strategies with a maximum global temperature increase of 1.5oC as targeted by the Paris Agreement, raising questions about how to do so while respecting other investment constraints.

You can now read the full whitepaper at the link below