Search Results | Showing 2031 - 2040 of 2684 results for "risk" |
| | | Conduct risk in the financial services sector is issue that investors must take into consideration for direct impacts such as fines, but also indirect impacts such as management distraction and staff retention, according to research from Ausbil Investment ... |
| | | | Citi and Credit Suisse were recognised for their broker research at the seventh annual ESG Research Australia (ESG RA) Awards. Citi won Best ESG Broking Firm, while Sandra McCullagh and Chris Parks of Credit Suisse won Best Piece of New ESG Research ... |
| | | | The Principles for Responsible Investment (PRI) is assessing what the next decade of responsible investment looks like, particularly in the context of implementing the Sustainable Development Goals (SDGs). Fiona Reynolds, managing director, PRI PRI ... |
| | | | ... the company and trying to getting comfortable with the financial risks and the human rights risks and also the reputational risk to HESTA," Emslie told the ACSI conference attendees. "Ultimately we made a decision to divest, but it was a long involved ... |
| | | | ... percentage of companies and by assets under management, with statements on how individual teams manage climate change issues and risk. CFSGAM is also leading a new working group through the Investor Group on Climate Change that is developing best practice ... |
| | | | ... value." The guide is a collaboration between the IGCC, the European IIGCC, the PRI, UNEP FI, the Investor Network on Climate Risk (INCR) of North America and RICS. The report was co-authored by Tatiana Bosteels, head of responsible property investments ... |
| | | | Globally, companies that are exposed to water scarcity risks are managing those risks poorly, according to research from Sustainalytics. Sustainalytics has published Water Scarcity: Will Investors Be Left High and Dry?, which points to three key contextual ... |
| | | | ... funds, foundations and endowments with a total of $US37 trillion assets under management (AUM) - on management of climate risk within their portfolios. The rankings are based on direct disclosures and publicly available information, and asset owners ... |
| | | | ... Australasia (IGCC) has published Investor Expectations of Electric Utilities Companies - Looking down the line at carbon asset risk. The guide outlines risks to the sector and what investor expectations are regarding how companies adapt their business ... |
| | | | ... require more detailed information on the strategic relevance of the topics to the business and companies' responses: the risk exposure, approach to opportunities, sustainability targets and progress towards them." This sort of information would provide ... |
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