Franklin Templeton Q&A: Emerging markets are under-owned, undervalued and underestimated

Investors are reducing their exposure to emerging markets (EMs) despite positive growth signals, leaving plenty of opportunity for those that can buy in to companies at discounted prices, said Andrew Ness, emerging market portfolio manager at Franklin Templeton. Here, Ness discusses how investment in EMs is changing on the back of the global transition towards … Read more

Judge banks on what they do, not what they say

For responsible investors, banks pose a unique challenge. Whereas other companies provide plenty of information about themselves, an investment bank’s activities are so extensive (and its loan book so impenetrable) that investors can often have little idea of what exactly they are funding.  Instead, they scrutinise a bank’s policies to see whether its activities align … Read more

1.5C breach: We must lean further towards driving real world change

The world is on an “unsustainable path” and more needs to be done by investors to direct capital towards mitigating climate change investment, professionals said as they react to the news global temperatures breached 1.5C for a year for the first time. Monthly data released by Copernicus Climate Change Service (C3S) last week showed temperatures … Read more

Gravis Q&A: The future of net zero in the UK

In this Q&A, Ed Simpson, head of energy and infrastructure at Gravis Capital Management, shares his thoughts on the economic considerations surrounding the future of net zero in the UK, exploring the costs of implementation, potential long-term consequences of inaction, and the crucial need for diversification in energy generation. Why is the UK spending so … Read more

Engaging with investment trusts on human rights

To achieve net zero by 2050, investment in renewable energy must triple by 2030, reaching around $4trn (£3.2trn). However, as the renewables industry expands at pace, so too have concerns about its social impact. Allegations of forced labour in solar supply chains, child labour in battery mineral sourcing, and indigenous rights violations in wind farms … Read more

Green Dream with GIB AM’s Desai: Companies in emerging Asia understand improving ESG ratings is ‘potent’ for returns

Companies in emerging Asia have low ESG ratings but an increasing willingness and receptiveness for change, according to GIB Asset Management’s Kunal Desai. Crucially, he says in this Green Dream video interview, there is also an understanding that this “can be a potent source of shareholder returns”. Desai, manager of the GIB AM Emerging Markets Active … Read more

State Street launches ESG emerging market bond fund

State Street Global Advisors has launched the Article 8 State Street Emerging Markets ESG Hard Currency Government Bond Index fund, which invests in emerging market government bonds. The fund, which deals in USD-denominated bonds, began with an initial investment of $50m (£39.6m) and follows the J.P. Morgan ESG EMBI Global Diversified Index, which puts emphasis … Read more

Mini grids: Providing social as well as environmental opportunities

Blended finance offers a solution that “can help alleviate the technological and market risks” associated with investment in the low carbon economy, according to a report by the Institute for Energy Economics and Financial Analysis (IEEFA) and auctusESG. The report Blended Finance: Key to Bridging Energy Transition Gap in Developing Countries emphasises that blended finance … Read more

Sarasin & Partners and Generation IM among financial institutions recognised for climate change action

Two asset management firms – Sarasin & Partners and Generation Investment Management – have been recognised for their progress in acting on their climate commitments in the inaugural Sustainable Finance Report Card published by the Centre for Climate Finance and Investment at Imperial College Business School. In partnership with the Carbon Tracker initiative, the report … Read more