Extended-lister
Showing 91 - 92 of 92 entries
-
MSCI Blog
Managing Climate Risk in Equity Portfolios: A Case StudyInstitutional investors are increasingly focused on mitigating their climate-related risks. How could a “typical” active global equity manager have managed these exposures without disturbing the portfolio’s risk and return characteristics?
-
Research Report
Managing Climate Risk in Investment PortfoliosInvestors are increasingly concerned about how climate change and a transition to a low-carbon economy could impact the risk and return profile of their portfolios. In this case study, we selected a sample portfolio representative of a global actively managed fund in terms of its risk-return characteristics and used the MSCI Climate Value-at-Risk model to examine the different dimensions of climate-related risks. We show how Climate VaR can be used to measure climate risks for the portfolio...
ESG Products & Services Portfolio Management Analytics ESG Climate Solutions ESG Climate VaR