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美世咨询:2023全球资产管理公司调查报告(英文版)(26页).pdf

上传人: Y**** 编号:150576 2023-12-22 26页 1.98MB

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1、2023 Global Asset Manager Survey Seeking to accelerate transition in emerging markets:overcoming barriers and increasing connectivity 2023 Global Asset Manager Survey2Although signatories to the 2015 Paris Agreement are seeking to address climate change through government commitments and policy leve

2、rs,it is investors who are tackling the problem of where and how to deploy capital in support of climate goals.Asset owners and managers are not yet managing transformative portfolios which incorporate assets supporting the transition from an extractive fossil fuel-based economy to a green economy a

3、t scale.At COP28,the first Global Stocktake1 since the signing of the Paris Agreement will provide decision-makers with a comprehensive assessment of progress to date.In the same spirit,by“taking stock”of progress across global investment strategies,Mercer seeks to gain a better understanding of the

4、 ways in which climate action is taking shape across portfolios from the key drivers of progress to the gaps that still need to be addressed.To build a more holistic picture of how transition is being enabled by investment strategies and how it is set to evolve,Mercer surveyed more than 200 global a

5、sset managers including more than 100 managers investing in emerging and frontier markets with aggregate assets under management of over US$30 trillion.Building on our 2022 study,this year we sought to drill down into how transition is taking place across emerging and frontier markets.We include in-

6、depth analysis on the ways in which asset managers are investing across emerging and frontier regions on an asset class and regional basis.IntroductionSection 1:Assessing policies,positions and progress We assess global asset managers current climate investment policies and approaches,gauging year-o

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根据报告的内容,本文主要讨论了全球资产管理者在可持续投资和转型投资方面的政策、立场和进展。主要观点和数据包括: 1. 资产管理者在可持续投资政策方面有所扩展,例如80%的管理者将公平劳工实践、健康和安全以及人权纳入投资政策,比去年增长了16个百分点。 2. 虽然报告设定净零目标的管理者比例有所上升,但大多数管理者的承诺范围仍然有限,只有35%的管理者报告设定了净零目标。 3. 大多数管理者正在评估适应和抵御物理风险、公正转型、自然和生物多样性损失等。例如,72%的管理者在其投资政策中纳入了适应和物理弹性考虑。 4. 在新兴市场投资策略方面,亚洲是最常见的投资区域,而公开股票是最常见的投资资产类别。例如,81%的新兴市场管理者投资于公开股票。 5. 管理者在投资决策中考虑公正转型,但只有30%的管理者制定了公正转型政策。 6. 管理者在跟踪投资组合公司的净零承诺以及碳排放数据和指标方面变得更加普遍,例如75%的管理者跟踪投资组合公司的碳强度。 7. 管理者在跟踪投资组合公司的碳强度方面保持稳定,但只有27%的管理者跟踪其供应链的碳强度。 综上所述,全球资产管理者在可持续投资和转型投资方面正在取得进展,但仍存在一些挑战和差距需要解决。
资产管理者如何应对气候风险? 投资策略如何支持新兴市场转型? 生物多样性在投资决策中扮演什么角色?
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