Extended-lister
Showing 61 - 70 of 695 entries
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Holding long term investments requires understanding, identifying and managing financial risks and opportunities. Long term investors must regularly and rigorously assess the resilience of their asset allocation, portfolio construction and risk management decision-making processes.
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ESG Rating is designed to measure a company’s resilience to long-term, industry material environmental, social and governance (ESG) risks.
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ESG and climate regulation and disclosure resource center for institutional investors, managers and advisors.
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We understand today, better than ever before, how ESG and Climate considerations can impact long-term risks and opportunities in financial markets.
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MSCI’s latest ESG paper deconstructs MSCI ESG Ratings to explore how environmental, social and governance factors performs by time horizon, sector and weighting.
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MSCI Blog
Underwriting the Biodiversity CrisisSome property and casualty insurers already use geospatial analysis in their pricing, claims processing and risk management. Adding a layer of biodiversity data to this analysis may help incorporate biodiversity considerations in underwriting.
ESG Climate VaR ESG Climate Solutions
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Research Report
Enhancements to MSCI’s Fund ESG Ratings
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While individual investors were early adopters of bitcoin and other digital assets, institutional interest has grown. Our Digital Assets solutions provide a meaningful framework to help investors make better informed decisions.
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MSCI Blog
40% Women on Boards — the New FrontierThe number of women on boards continues to rise. While a 30% board gender diversity target has long been the magic number, the continued evolution of boards, both by choice and by regulation, means 40% women on boards is becoming the new frontier.
ESG Ratings ESG Governance Metrics
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Implied Temperature Rise is designed to show the temperature alignment of companies, portfolios and funds with global climate targets.