Search Results | Showing 1461 - 1470 of 1625 results for "portfolio" |
| | Analysis from Inalytics and PIRC, an independent governance research and shareholder voting adviser, has demonstrated that share prices of listed companies with high governance risk performed poorly over time, whereas the share price of listed companies ... |
| | | ... projects" the EBRD said in a statement. The proceeds from the bond will be used in investment in the EBRD's Green Project Portfolio. Morgan Stanley and Skandinaviska Enskilda Banken (SEB) were joint lead managers in the issue. EBRD first started issuing ... |
| | | ... Equity Index Fund, which has been designed capture exposure to emerging markets whilst potentially lowering long-term portfolio risk by excluding both companies with high greenhouse gas emissions and companies that have extensive reserves of fossil fuels ... |
| | | Swedish bank SEB, JP Morgan and Morgan Stanley are the leading underwriters of labelled climate bonds, while JP Morgan, Bank of America (BofA) Merrill Lynch, Goldman Sachs and Credit Suisse lead in deal size of the unlabelled climate bonds market, according ... |
| | | Publish What You Pay Australia will press its case to the new federal government for the adoption of mandatory disclosure standards for companies in the mining and extractive industry. This week, Prime Minister Tony Abbott named the ministers who will ... |
| | | The UN Global Compact has launched an equities index based on companies that have committed to the Global Compact's principles, and found that the index has outperformed general global stock indices. The Global Compact 100 (GC 100) is released in partnership ... |
| | | Australia and New Zealand Banking, Tabcorp and Stockland are industry group leaders in the 2013 Dow Jones Sustainability Indices (DJSI) review. S&P Dow Jones Indices, in collaboration with RobecoSAM, have announced that the DJSI World Index 2013/2014 ... |
| | | ... lower risk profile - the PRI cites a 2013 study by Towers Watson that found the average pension fund has 34% of its portfolio in fixed income. "While ESG analysis has been applied increasingly to equities, few have put it to the test in fixed income ... |
| | | ... alternative asset manager, has selected MSCI ESG Research to provide environmental, social and governance (ESG) ratings and portfolio analytics. Mariner Group has subscribed to MSCI ESG Portfolio Analytics, a reporting tool for assessing a portfolio's ... |
| | | ... to monitor energy consumption - compared to 24% in North America and 59% in Europe - covering on average 72% of their portfolio. 62% of companies and funds also use automatic meter readings to monitor water consumption - compared to 14% in North America ... |
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