Extended-lister
Showing 1881 - 1890 of 4,987 entries
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Research Report
Assessing Science-Based Corporate Climate Target-Setting
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MSCI Blog
Building Climate-Aware Factor PortfoliosFactor investing typically involves both security selection and alternative weighting based on security-level factor exposure. If such a strategy also needs to be climate-aware, what is the cost in terms of target-factor erosion?
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MSCI Blog
Mining’s Impact on Biodiversity: A Rising Risk?Will biodiversity losses become the next crisis facing humanity, possibly surpassing climate change? Growing scrutiny on biodiversity risks could have implications for mines that threaten biodiversity or environments of high conservation value.
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MSCI Blog
In the Name of Climate: Private vs. Public FundsIn recent years, there has been a surge in climate-related names within both public and private funds, but their focus is often on different areas. We analyze the numbers to identify key trends and provide investors with greater clarity.
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MSCI Blog
Pulling Back the Curtain on Emissions Reporting in Private MarketsWith private investments set to play a major role in the transition toward net-zero, we assess the state of emissions reporting in private markets relative to public markets and identify the reporting disparities across asset classes, regions and sectors.
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MSCI Blog
How Institutional Investors Are Responding to Climate ChangeHow are institutional investors tackling climate-change risk in their portfolios? Thanks partly to global initiatives such as the Montreal Pledge and the Portfolio Decarbonization Coalition, both launched in 2014, many institutional investors have moved quickly to understand the long-term portfolio implications of climate change and to adopt climate-risk management techniques.
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MSCI Blog
Modern Slavery: The Unseen RisksModern slavery occurs all over the world and can impact virtually all industries. Meanwhile, regulations requiring more detailed reporting on potential supply-chain exposure is increasing. How can investors identify portfolio holdings most at risk?
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MSCI Blog
The last straw: Will plastic become the next stranded asset?Oil and gas companies are accelerating investment in plastics, in response to the shift away from fossil fuels. But is this pivot sustainable? Could plastic become the next stranded asset?
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MSCI Blog
Mining Energy-Transition Metals: National Aims, Local ConflictsInvestors are scouting for companies that mine the metals needed in new energy technologies. But some mining projects key to the transition from fossil fuels may face opposition from Native Americans for threatening sacred areas or traditional ways of life.
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MSCI Blog
Assessing Banks’ Risk-Oversight CapabilitiesWith the banking crisis raising questions about boards’ risk oversight, we analyze the level of independent risk-management expertise on the boards of banks by region to see how well they may be positioned to navigate the current volatility.
ESG Governance Metrics ESG Government Ratings