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高盛:2022资产与财富管理TCFD报告(英文版)(100页).pdf

上传人: AG 编号:605411 2023-01-01 100页 8.14MB

1、Asset&Wealth ManagementTCFD REPORT 2022TABLE OF CONTENTSStrategy33Asset&Wealth Management:Our Climate StrategyEmpower Decisions through Actionable Climate IntelligencePublic Markets InvestingPrivate Markets InvestingPrivate Wealth ManagementUnlock Potential Value through the Management of Climate-Re

2、lated Risks,Opportunities,and ImpactManage and Mitigate Climate-Related RisksHelp Portfolio Companies and Client Assets Navigate and Benefit from the Climate TransitionInvest in Climate OpportunitiesMobilise the Full Range of Our Resources to Meet Clients NeedsPublic Markets InvestingPrivate Markets

3、 InvestingPrivate Wealth ManagementImprint within the External Investing Group(“XIG”)Description of Relevant Climate-Related Risks and OpportunitiesPublic Markets Investing Climate-Related Risks and OpportunitiesPrivate Markets Investing Climate-Related Risks and OpportunitiesPrivate Wealth Manageme

4、nt Climate-Related Risks and OpportunitiesResilience of Asset&Wealth Managements Climate StrategyIdentification and Assessment of Climate-Related Risks and OpportunitiesApproach to Climate Scenario AnalysisIntroduction04Introduction from our Chief Investment OfficerAbout Asset&Wealth ManagementScope

5、 of ReportCommentary on Asset&Wealth Managements Inaugural TCFD ReportSummary of TCFD RecommendationsDefinition of Climate-Related RisksCompliance StatementsOther Goldman Sachs Climate-and Sustainability-Related ReportsOther Public Markets Investing ConsiderationsExecutive Summary15Asset&Wealth Mana

6、gement:Our Climate StrategyRecent HighlightsGovernance21Board OversightGSAMI Board Oversight BodiesGSI Board Oversight BodiesManagement OversightAsset&Wealth Management Oversight BodiesPublic Markets Investing Oversight BodiesPrivate Markets Investing Oversight BodiesPrivate Wealth Management Oversi

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本文是资产与财富管理(AWM)的2022年气候相关财务披露报告(TCFD报告),主要内容包括: 1. AWM的气候策略旨在通过管理气候相关风险、机会和影响,为客户实现长期、风险调整后的回报。 2. AWM的气候策略包括:公共市场投资、私募市场投资、私人财富管理等,旨在通过气候相关数据和分析工具,帮助客户实现其气候目标。 3. AWM的治理结构包括董事会和管理层,负责监督气候相关风险和机会。 4. AWM的气候风险管理方法旨在评估和管理气候变化对其业务构成的风险,并寻求将气候因素融入风险管理实践。 5. AWM已为部分投资产品和服务制定了气候相关指标,包括公共市场投资、私募市场投资和私人财富管理的温室气体排放指标。 6. AWM在最近几年中继续支持气候转型,包括开发气候产品和解决方案,气候资源和工具,以及与投资组合公司就气候问题进行接触。
资产管理公司如何管理气候相关风险? 资产管理公司如何通过投资实现气候转型? 资产管理公司如何制定气候策略以满足客户需求?
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