The warnings are stark: to limit global warming to 1.5°C, we need to establish a net-zero economy by 2050. If we don’t, there will be dire consequences for the planet and its inhabitants.
Asset owners are responding. Increasingly, they recognise it is no longer sufficient to account for climate risk as part of an ESG strategy that is designed to cleanse and protect their portfolios. Instead, they need strategies that will both align portfolios with the net-zero transition and create impact in the real economy.
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