All Europe articles
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Blog postFinal destination for the Omnibus I: what next for the EU sustainable finance agenda?
What the outcome of the EU’s Omnibus 1 deal means for investors.
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Case studyGENUI: Investing with entrepreneurs to create strong returns and positive impact
Shortlisted for PRI Awards 2024: Innovation in Responsible Investment Strategy
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Case studyGresham House: Habitat banks as a new investment opportunity
Shortlisted for PRI Awards 2024: Recognition for Action – Nature
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Policy engagementPRI response to the Swiss Federal Council consultation on revised sustainability reporting rules
Switzerland: The PRI supports the proposal to expand Swiss sustainability reporting regulation in alignment with the EU Corporate Sustainability Reporting Directive (CSRD) in content and scope.
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Case studyECBF: Investing in the bioeconomy
Not all ‘bio’ is necessarily ‘sustainable’, and not all investments in the industry represent a form of responsible capital. It is critical to distinguish, measure and monitor an innovation’s true contribution to sustainability, as well as assess the ESG-related risk and opportunity.
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Policy reportPRI’s 2030 EU Policy Roadmap
Six key policy actions to fine-tune and improve the usability and coherence of the existing sustainable finance framework, build on it where necessary, and develop and strengthen the links with broader EU Green Deal policies.
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Technical guidePlatform on Sustainable Finance: A Compendium of Market Practices
The advisory body to the European Commission has published a report on the EU sustainable finance framework.
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Blog postResponsible investment is a global concept with local flavour: reflections from Austria
By David Atkin, CEO, PRI
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Case studyDanica: Reaching net zero through sectoral target setting
Setting an ambitious target in the utilities sector.
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Workshop summaryAddressing EU taxonomy usability issues
An assessment of EU taxonomy implementation: challenges and solutions.
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Case studyInfranity: Assessing climate performance to build sustainable infrastructure portfolios
Using a target-setting methodology to reduce portfolio and asset emission intensity
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Case studyGresham House – Putting sustainable forest management into practice
Signatory Type: Investment manager HQ Location: London Assets under management: £7.3bn[1] Covered in this case study Asset class(es): Forestry Geography: Global Gresham House is a specialist alternative asset manager. We provide investment solutions across a range of strategies, covering forestry, real estate, infrastructure, ...
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Case studySofinnova Partners: Our evolving ESG philosophy as an early-stage venture capital investor
Sofinnova Partners on why and how it assesses the ESG maturity of its companies at each phase of their development.
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Case studyKfW Capital: Paving the way for a more sustainable venture capital ecosystem
KfW Capital outlines the processes and frameworks it has developed to conduct ESG due diligence on venture capital managers.
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Case studyFSN Capital: Identifying and addressing human rights in the value chain
Human rights case study
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Case studyApplying responsible investment principles to multi-asset credit manager selection
Organisation name: Brunel Pension Partnership Signatory type: Asset owner Region of operation: England Assets under management: £30 billion Why we consider responsible investment principles during manager due diligence We designed and delivered a multi-asset credit fund for our pension fund clients to meet their demands for diversified exposure to ...