Extended-lister
Showing 101 - 110 of 462 entries
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Newsletter
Headlines 20Headlines From MSCI | Issue 20 Online Version Contact Us MSCI Expands Dedicated Asset Owner Client Teams GloballyCost Effective Managed Services - Now Available for Barra Portfolio ManagerMSCI ESG Research - Integration and ImprovementsThe Evolution of Global Investing: MSCI All Country World Index (ACWI)MSCI Research Published in Leading Journals3-in-1: Exploring Global Equity AllocationNew! Integrated MSCI Website MSCI Expands Dedicated Asset Owner Client...
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Research Report
ネットゼロ達成に向けて:アセットオーナー向けガイドESG Climate VaR ESG Climate Solutions Climate VaR
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Newsletter
ESG Update - October 2011Online Version | Contact Us ESG UpdateFrom MSCI | October 2011» Change Preferences Announcements & UpdatesMSCI ESG IVAIn October, MSCI ESG Research has published MSCI ESG IVA Industry Reports and Methodologies* for the following industries:BiotechnologyCommodity ChemicalsElectric Power – North AmericaGas UtilitiesIntegrated Oil and GasReal Estate Management and DevelopmentRestaurantsRetail - EuropeRetail – North AmericaTextiles, Apparel, and...
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Newsletter
Headlines 11Online Version HeadlinesFrom MSCI Barra | Issue 11Looking Ahead - Baer Pettit, Managing Director and Head of Client Coverage & Marketing"Last year was full of challenges for many of us in the financial services industry - some more unexpected than others. At MSCI Barra we saw increased interest in both our index and portfolio analytics products as asset managers, pension plans and broker dealers looked for better ways to understand, manage, measure and report their risk and...
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Newsletter
Headlines 16Online Version | Contact UsHeadlinesFrom MSCI | Issue 16>> RiskMetrics HedgePlatform - An Aggregated View on Risk>> MSCI Acquires Measurisk>> MSCI Named Index Provider of the Year>> Roger Urwin on the BP Oil Spill: ESG and Portfolio Construction Implications>> Risk Management of Counterparty Credit Exposure>> MSCI and RiskMetrics Integration UpdateMSCI - Leading Brands WorldwideRiskMetrics HedgePlatform - An Aggregated View on RiskPension plans and other...
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MSCI Blog
Quitting tobacco stocks without going through withdrawalDespite strong headwinds, including renewed divestment pressure,1 the tobacco industry has proved quite resilient financially and outperformed the stock market over the past 18-1/2 years. So much so, that some institutional investors are now thinking of lifting tobacco bans in their investment policies. We found that most of the gains associated with holding tobacco stocks over this period were not specific to the tobacco industry, and could have been obtained in other ways. We also show it would have been possible to divest from tobacco without taking a hit to portfolio performance during our sample period.
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MSCI Blog
What’s the downside in real estate?Real estate has always been marked by periods of expansion and sometimes painful corrections. But all cycles are not alike.
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MSCI Blog
Keeping Energy Exposure While Lowering EmissionsCould equity managers have maintained their energy exposure during the sector’s recent outperformance while also reducing carbon emissions? We find that they could have lowered emissions but with some trade-offs during our study period.
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Research Report
MSCI ESG Issue Brief: Options for Reducing Fossil Fuel ExposureThe debate around climate change shifted dramatically in tone this past year. No longer is the focus primarily on lobbying policy makers around the world to regulate carbon emissions. Rather, there appears to be a social movement in the making, and its targets are the investment committees of the world's major pension funds and endowments.With over 75 asset owners as clients, we at MSCI ESG Research have seen an escalation in investor interest in measuring portfolio exposure and in...
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MSCI Blog
Corporate Disclosure in a TCFD WorldIn June of 2017, the Task Force on Climate-related Financial Disclosure (TCFD) released climate-related disclosure recommendations to companies and investors that included a framework for better company disclosure and a request for climate scenarios as part of that disclosure. But for investors looking to incorporate environmental risk into their process, there might be a pretty big catch: We mapped over 140 MSCI ESG Research climate-related data points to the TCFD framework and found a significant gap between what investors need to know under these recommendations and what companies are telling them.