All HQ: Developed Markets articles – Page 5
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Case studyRating responsible investment hedge fund managers
Organisation name: Man Group Signatory type: Investment manager Assets under management: US$123.6 billion Region of operation: Global Man Group is firmly committed to responsible investment and is a long-term signatory to the United Nations-supported Principles for Responsible Investment. Our Man FRM unit is focused on alternative investments, through managed accounts, ...
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Case studyImproving responsible investment through manager engagement
Organisation name: Aware Super Signatory type: Asset owner Region of operation: Australia Assets under management: AU$144bn Why we engage with managers after their appointment Responsible investment is an integrated part of our due diligence process. Engagement with managers after their appointment can result in a more collaborative relationship and ...
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Case studyEngaging external managers on sustainable investment
Organisation name: Cardano Region of operation: Global Signatory type: Investment manager Assets under management: We provide fiduciary management services to 30 UK pension funds with combined assets of £16bn and investment advice to 10 UK pension funds with combined assets of £50bn. We also provide LDI execution and derivative overlay ...
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Case studyDelivering sustainable social infrastructure in Australia
Organisation name: Lighthouse InfrastructureSignatory type: Investment ManagerAssets under management: US$394 millionRegion of operation: Australia
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Case studyUsing the SDGs to source contrarian investment opportunities
Case study by Inherent Group
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Case studyCreating an ESG framework for multi-strategy hedge fund manager research
Case study by BlackRock
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Case studyAchieving a strategic asset allocation and generating long-term growth in a sustainable way
Case study by BlackRockFor professional clients and qualified investors only Signatory type: Investment manager Region of operation: Global Assets under management: US$7.8trn (30 September 2020) Why incorporate esg considerations into a strategic asset allocation (SAA)? Using multi-asset allocations to help clients achieve the growth they require at reasonable ...
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Case studyAccelerating integration of green generalist sustainable investing style into mid-market infrastructure investing
Case study by ICG, Oceinde Communications
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Case studyAfricaGrow: a fund of funds for financing African SMEs and start-ups
Case study by Allianz Global Investors
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Case studyFTSE developed TPI climate transition index – aligning a global equity portfolio with the climate transition
Case study by FTSE Russell, Church of England Pensions Board & Transition Pathway Initiative
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Case studyAnalysis of the impact of an investment portfolio on society and on SDGs
Case study by VidaCaixa
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Case studyThe AXA Impact Fund: climate & biodiversity - making a difference
Case study by AXA Investment Managers
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Case studyEngaging ICT companies to better protect children from sexual exploitation online
Case study by Christian Brothers Investment Services
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