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February 2015

News CalPERS Joins Large Investors Calling for Green Bond Market Principles

The California Public Employees’ Retirement System (CalPERS) has joined an investor group of existing and potential green bond buyers calling on the green bond market to adhere to a set of principles that provide greater clarity on eligibility, disclosure, transparency, and (...)

January 2015

Opinion Climate change is an investment play for today

According to Luisa Florez, analyst at AXA IM, It is often said that climate and carbon themes are not financially material risk factors in the short to medium term. As an illustration, to date there have not been any signals from carbon markets to suggest that climate (...)

November 2014

Innovation Lyxor AM and Finvex Group launch the first indexed ETF on low-volatility European SRI equities

The aim of this ETF is to improve the stability of a portfolio of European equities, thereby optimising its performance. The index strategy is therefore founded on a two-pronged risk management approach that considers “qualitative risk” by filtering the investment universe in (...)

November 2014

Opinion Unresolved ESG issues persist in Canadian oil sands industry

During a recent visit to Canada, for the annual UN PRI signatory conference, I took the opportunity together with a few other investors to visit the oil sands operations in the Alberta region. What I heard and saw there made me realise that the Canadian oil sands industry (...)

September 2014

Innovation World Bank Issues a 5 million USD Callable Step-Up Green Bond

The World Bank (International Bank for Reconstruction and Development, IBRD, rated Aaa/AAA), announced a USD 5 million 10-year callable step-up green bond. This green bond was lead managed by J.P. Morgan (JPM) which has underwritten $565 million in IBRD green bonds to (...)

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