Search Results | Showing 181 - 190 of 2619 results for "risk" |
| | | In this episode of The Greener Way, host Michelle Baltazar talks with Mirtha Kastrapeli, global head at ISS STOXX Research Institute, on how institutional investors are starting to look at 'nature' with a fresh lens. Beyond its impact on investment ... |
| | | | ... assessment, the 2025 report also confirmed that only a small proportion of the company's holdings are exposed to high deforestation risk. This has allowed for the focused management of the risk through stewardship activities, the firm said. Across Australian ... |
| | | | ... considering global resilience as a key thematic when making responsible investment decisions. "We see this as a systemic risk, the same as climate change, the same as decent work would be systemic risks right across the portfolio, we think global resilience ... |
| | | | ... experience physical risks, namely in the form of weather-related disruptions, which they are urgently addressing in their risk management and business continuity planning. MSCI Institute's latest Corporate Resilience Survey finds that severe storms (62%) ... |
| | | | ... with nearly three quarters considering energy consumption or increased greenhouse gas emissions to be the most material ESG risk for their investments over the next two to three years. "As the AI boom continues, investors are more alert than ever to ... |
| | | | The head of investment risk at the prudential regulator is set to join one of Australia's top superannuation funds. The Australian Prudential Regulator Authority (APRA) confirmed Geoff Stewart's resignation, with James Fleming, its head of capital ... |
| | | | ... of credit funds at Mutual Ltd, similar roles at Alexander Funds Management, equity research at Macquarie Bank, and credit risk management at Challenger Financial. I talia also spent a year at National Australia Bank before moving to Bahrain-based Al-Khabeer ... |
| | | | ... client advisory side, and Mathew Moon (private equity), Robert Moore (fixed income) and Christopher Worthington (quant & risk) on the investment side. Dwyer has spent 11 years at JANA, after roles at Mercer, Trowbridge, NGS Super and most recently the ... |
| | | | ... are witnessing is not just an increase in assets under management, but a structural shift in how investors assess value, risk and impacts," she said. |
| | | | ... the global foundations of corporate reporting. "It will help shift the mindset across business about nature as a source of risk, resilience and value, and help inform better strategy, risk management and capital allocation decision making across economies," ... |
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