ESG Strategies

REPORT

ESG strategy : special 2021 report

presented by SAS


While ESG (Economic, Social and Governance) investments still represent only a small portion of overall fund assets, by 2025, ESG funds are expected to outstrip traditional funds.

Industry experts see impact investing as a decisive approach towards measurable progress for people and the planet. But evaluating ESG investments is fraught with difficulty, from defining ESG criteria to understanding the true impact of individual assets.

This special report from Risk.net provides an analysis of the challenges in measuring ESG and climate transition risk, as well as the progress perspectives to make this task easier for financial institutions.


Read about:

  • Insights from the Risk.net buy-side risk survey to financial institutions
  • Climate risk impact on scenario analysis and stress-testing
  • Requirements to set up the EU new carbon-scoring system
  • And much more.