Bondholders are increasingly engaging with both corporates and sovereigns to address systemic risks.
Institutional investors need to rethink the risk-return proposition in emerging markets, argues Matt Christ, Portfolio Manager at Ninety One.
A selection of the major stories impacting ESG investors, in five easy pieces.
Think tank’s handbook looks to tackle investor confusion over sustainability-linked bonds.
Robeco’s Head of Fixed Income argues that the hunt for “perfect” forward-looking emissions data cannot stand in the way of progress.
The 2025 deadline for submitting new nationally determined contributions opens the door for sovereign debtholders to push for credible net zero transition...
Agathe Foussard, Fixed Income Portfolio Manager, Mirova, considers recent trends in sustainable bond investments.
Matt Lawton, Portfolio Manager of T Rowe Price’s Global Impact Credit strategy, identifies three sectors which offer impact and returns to bond...
Adaptation bonds are among the potential vehicles for private investment, but policy action is still needed at COP28.
Stéphanie Mielnik, Research Director at Anthropocene Fixed Income Institute, examines the impact of the new EU regulation on soy producers and their...
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