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Raising the Bar in Mining and Minerals for the Cleantech Supply Chain: The Role of Multi-Stakeholder Initiatives

In this article, we look at multi-stakeholder initiatives in the mining industry and how to mobilize investors to raise the bar for industry collaboration in the cleantech supply chain.

Green Bond Principles: What Issuers Need to Know

The green bond market is a portion of the larger debt market that enables and mobilizes funding for projects that contribute to environmental sustainability. Green bonds facilitate capital raising and investments for new and existing projects which have environmental benefits and can mitigate risks associated with climate change.

ESG Spotlight | Supply Chain Incidents: Understanding the Impacts

To help investors understand supply chain controversies, this report explores how supply chain incidents are distributed over time and across industries, markets and event categories. Our analysis aims to enable investors to identify potential areas of portfolio exposure as well as topics for corporate stewardship activities.

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Managing Risks for a Changing Climate: A Guide for Institutional Investors

Gain a better understanding of physical and transition climate risks and their potential impacts to effectively respond to climate risks in investment portfolios and comply with the growing list of climate-focused reporting frameworks and regulations.

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EU Action Plan Q1 Updates: SFDR Review and Investor’s Challenges

In this webinar, we will take a look at the evolution of sustainable funds in the first quarter of 2023, and review fund flows into Article 8 & 9 funds. We will then explore the latest regulatory updates around the EU Action Plan and the discussions around ESG labelling. Our speakers will discuss the different approaches of disclosures versus labelling and the benefits and shortcomings of each for combatting greenwashing.

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Meeting Investor Expectations Through Corporate ESG Reporting, Planning and AGMs

Investors are increasingly influenced by ESG ratings and companies’ approaches to managing ESG risk. While an annual general meeting (AGM) is an ideal opportunity to communicate company plans around managing these risks, ESG reporting goes beyond an AGM or proxy season. Investors want investing to align with values, but are also looking at risk exposure and management.

Sustainalytics Podcast

ESG In Conversation | How Can Investors Address Biodiversity Loss?

In this episode of ESG in Conversation, we’re exploring the question: how can investors address biodiversity loss? Learn about the urgency of addressing biodiversity loss and the role of good stewardship in effecting positive change.

Filling in the Data Gaps: The Current State of Reporting on Principal Adverse Impacts Disclosures for the SFDR

In this blog we take a closer look at trends in data availability and reporting across mandatory and voluntary PAIs, and how investors can address their data gaps.

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Portfolio Screening as Due Diligence: How Investors Can Implement Responsible Business Conduct

This blog outlines how investors with access to screening options that follow the criteria of the OECD MNE Guidelines and the UNGPs can better assess investee companies’ risk of causing actual and potential adverse impacts. It shows what these research modules can look like and provides some examples outcomes on the effect of applying certain thresholds.

How to Achieve Net Zero? Match Action to Ambition

Morningstar Sustainalytics’ president on the gains and pains in the fight against climate change.

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Capturing the Direct and Indirect Risks of Physical Climate Change in Investment Portfolios

Investors face a unique set of challenges in assessing the physical climate risks affecting their portfolio companies. In this blog discover the direct and indirect physical climate risks impacting companies and their supply chains.

Impact offers investors new ways to differentiate products, enhance client satisfaction, report to stakeholders and more. Learn how in our new blog post, The Power of Impact: Unleashing Potential for Asset Owners, Asset Managers, and Wealth Managers

Investing for Impact Explained: What It Is and Why It Matters to Investors

What is impact investing? What is impact-focused investing? In this blog post we unpack impact, how it relates to ESG, and why it’s important to investors.

Anticipating the Inevitable: What to Expect from the European Green Bonds Regulation

This blog post examines the key anticipated requirements that should be considered once the European Green Bond Regulation is ratified.

Listen to the latest episode of the Sustainalytics Podcast | Aligning Executive Action to Strategy With Sustainability-Linked Compensation

What’s Happening in Sustainable Finance: A Flurry of Updates in Regulations, Taxonomies, Frameworks, and Much More

Discussing the flurry of updates in sustainable finance regulation and guidance such as progress on the EU GBS; updates to the various sustainable loan principles; and the release of fourth and final beta version of the TFND framework.

Why Impact Matters: Seven Essential Considerations for Investors

Today’s investors are facing increased scrutiny from stakeholders for greenwashing risk. ESG-related disclosure regulations are quickly advancing and more customers are seeking impact-focused products. This market environment demands heightened transparency and credibility, and investors need to know how Impact can help them rise to these challenges and meet their diverse sustainability goals.

Will SVB’s Failure Create Headwinds in Clean Technology?

SVB's failure could create a domino effect in the IT and banking sectors, whereby the default of one company would trigger the default of another one across sectors, and so on. In this article, we explore that possibility for the cleantech sector.

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Factoring in Biodiversity: Companies Just Aren't Ready

Using ESG Risk Ratings data we assess companies' readiness to address their impacts on biodiversity loss across their operations.

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A New Tool at the Table: Understanding Low Carbon Transition Risk By Industry and How Companies Are Managing It

Discover how leading companies are managing their low carbon transition risks. Using data from the Low Carbon Transition Ratings, we identify the industries with a large portion of the companies with strong management of transition issues and examine the factors contributing to their strong management scores.

eBook | The Sustainable Bond Market in 2023: The Importance of Quality

The Sustainable Bond Market in 2023: The Importance of Quality

This ebook covers how the sustainable bond market must strike a balance between increasing innovation and maintaining quality, integrity and credibility.

Physical Climate Risk Metrics On Demand Webinars

On-Demand Webinar: Physical Climate Risk Metrics

Watch our on-demand webinar recordings to learn more about enhancements to Physical Climate Risk Metrics.