Targeting net zero: 5 reasons to rethink portfolio decarbonisation – Lombard Odier Investment Managers

Investors need to rethink net-zero alignment to address current flaws and accelerate progress in decarbonisation.

Only members with restricted access (ie. academics, asset owners, government and regulatory, independent advisers/trustees and sponsoring employers) can view this article. Please login or join to view.

... Investors should reconsider their approach to aligning with net zero as current solutions focusing on low-carbon companies are flawed, failing to identify credible progress on decarbonisation in high-carbon sectors and overlooking Scope 3 emissions, hindering progress towards achieving net zero; hence, Lombard Odier Investment Managers provide five reasons to rethink portfolio alignment.

Learn more here