Extended-lister
Showing 31 - 40 of 461 entries
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Research Report
Real Estate Home Bias - An Australian Case StudyThe erosion of the real estate home bias: an australian case study in risk diversification. As an asset class, real estate investing typically has a high degree of home bias, especially when compared to equities and fixed interest. However, this real estate home bias is starting to erode, with asset owners in most countries already investing internationally or actively exploring the options for building offshore exposures. Some of these asset owners are motivated purely by pricing, but many...
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MSCI Blog
CEO Pay: Trick or Treat?Some large asset owners are increasingly coming to believe that many executive pay schemes don’t align the interests of CEOs and investors. There appears to be an increasing focus on pay plan simplicity and transparency.
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MSCI Blog
Net-Zero Alignment for Multi-Asset-Class PortfoliosAsset owners who want to keep global warming below 1.5 degrees Celsius (1.5°C) have a tough row to hoe.
ESG Indexes ESG Climate Solutions
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Research Report
Fund ESG Transparency: Quarterly Report 2021Indexes ESG Products & Services
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Research Report
Bridging the gap: Adding factors to indexed and active allocationsAsset owners face a challenge in determining how the factor allocation fits into the overall equity program, in particular how the factor allocation relates to the existing roster of active managers. This paper uses a risk budgeting framework to investigate how active mandates and factor allocations can be combined. We address three key questions: 1) how does the level of active risk in active management affect the factor allocation decision, 2) what share of the portfolio can be deployed to...
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Research Report
Keep it Broad: An Approach to ESG Strategic TiltingHOW CAN UNIVERSAL OWNERS INTEGRATE ESG PRINCIPLES WHILE MAINTAINING A BROAD AND DIVERSIFIED INVESTMENT UNIVERSE? Institutional investors are increasingly looking for ways to integrate ESG considerations into their investment decisions. By doing so, they may aim to mitigate long-term risks, generate higher risk-adjusted performance and/or align investments with broader societal objectives. As ESG investment guidelines become more commonplace among asset owners, and as many continue to build...
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MSCI Blog
How Funds Are Positioned for a Low-Carbon FutureAs the world moves toward a low-carbon future, companies of many stripes are adopting renewable and clean-energy technologies. That, of course, has implications for stocks and the portfolios that hold them. How can asset owners understand the carbon-transition risks in their portfolios?
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Research Report
Beyond Divestment: Using Low Carbon IndexesWinner of the 2015 IRRC Institute Investor Research Award for best practitioner paper. Approaches based on divesting certain sectors effectively can help asset owners communicate their concerns about the risks of climate change to stakeholders. However, they ignore short-term benchmark risk. Further, a focus on divesting reserves disregards fixed assets that are at risk of losing value because they depend on burning fossil fuel reserves. This paper provides a framework for evaluating ways to...
Indexes ESG Products & Services
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Support Site Video
Rising Interest Rates - Funding Consequences for Pensions
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Research Report
The Road Toward a Seamless Global Real Estate PortfolioReal estate investors can analyze performance of direct real estate in detail. However, listed real estate, which includes public REITs, rarely offers detailed data, making it challenging to monitor a portfolio consisting of both private and public assets. Two developments are focusing issue: 1) real estate will constitute a new GICS® sector as of August 31 and 2) many asset owners seek to globalize their real estate portfolios: adding international listed securities is a simple and...