With the investment industry expecting significant outcomes from COP26 in November, climate risk management and portfolio carbon exposures have never been higher on investors’ agendas.
Read more: Carbon Cuts or Climate Impact? New Choices for Equity Investors
As the global economy emerges from the shadow of COVID-19, demand for infrastructure has surged among bfinance clients.
Global deal-making has soared since January, with the value of announced mergers and acquisitions exceeding $2.4 trillion through the end of May.
Read more: Riding the Wave: Event-Driven Strategies Surge on New Deal Flows
Amid the seemingly never-ending ‘hunt for yield’, high return real estate debt strategies are attracting investors’ attention.
Hedge fund managers have long defied the asset management industry’s drive toward greater consideration of ESG-related investment factors, but investors’ shifting priorities are sparking change.
Read more: From Laggards to Leaders? Hedge Funds Slowly Embrace ESG
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