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News & Research
Most Recent News & Research
Index | ESG & Sustainability
Q&A with WTW’s David Nelson: Managing a portfolio’s climate transition risk with a forward-looking focus
“Counting molecules of carbon is the essential first step to tackling climate change, but it’s only the start,” says the director at WTW’s Climate and Resilience Hub. He explains why investors should focus on a company’s current climate-transition risk by understanding what the impact will be on its future cash flows.
This year has seen a steep slowdown in net purchases of global ESG funds, but inflows remain positive. Broader funds, meanwhile, registered USD 139 billion in net outflows in the first six months of 2022, according to Morningstar data.
Investors can access three different German benchmarks that follow an ESG strategy designed to meet specific needs and responsible objectives, and that have the same rules and transparency characteristics as the blue-chip DAX index.
The ROOF methodology can capture the ‘sentiment’ of a portfolio relative to its benchmark. We run ROOF scores to determine the risk appetite of investors holding four portfolios aligned with respective Sustainable Development Goals.
Index | ESG & Sustainability
MIT Prof. Rigobon: Dealing with confusion and incongruity in the ‘ESG data zoo’
MIT Professor of Applied Economics Roberto Rigobon took the stage at the recent Qontigo Investment Intelligence Summit in New York to explain how inconsistencies in measurement, scope and priorities are leading to vast discrepancies in ESG ratings. To avoid confusion and mismanagement, he said, decision-makers must strive to understand what’s behind the data and carefully choose what best fits their goals.
Index | ESG & Sustainability
WTW: Why it is key to manage a portfolio’s climate-transition risk beyond carbon emissions
At the recent Qontigo Investment Intelligence Summit, WTW’s climate experts discussed how investors can better grasp a company’s climate-transition risk by looking forward to the future impact on its cash flows, rather than backwards at its carbon footprint.
Changes were announced as part of the June regular review for the DAX 50 ESG, DAX ESG Target and DAX indices.
Index | Factor Investing
BlackRock’s Ang on sustainability alpha signals: ESG and factors as ‘best friends’
ESG and climate metrics can be used as signals to generate alpha either on a stand-alone basis or to strengthen traditional style factors, BlackRock’s Andrew Ang explained during the Qontigo Investment Intelligence Summit.
Index | ESG & Sustainability
Germany’s LBBW licenses STOXX global Paris-aligned decrement index for structured products
The iSTOXX® Global Climate Change ESG NR Decrement 4.5% offers exposure to a portfolio on a decarbonization pathway and is compliant with the European Union Climate Benchmarks regulation.
Index | ESG & Sustainability
Investments in SFDR Art. 9 funds grow in first quarter despite market drop
One year after the introduction of Europe’s Sustainable Finance Disclosure Regulation, SFDR Arts. 8 and 9 funds increased their combined share of total European fund assets to 45.6%.
A new Qontigo whitepaper analyzes the risk characteristics and factor exposures of the STOXX Willis Towers Watson Climate Transition Indices (CTIs). The study helps investors understand the implications of a portfolio that is aligned with the goals of the Paris Agreement and that manages the risks and opportunities from moving to a low-carbon economy.
The Index Industry Association (IIA) provides education and advocacy on behalf of independent index providers worldwide, CEO Rick Redding explains to Qontigo’s blog. With the transformation of the role and shape of indices in full swing, he sees huge possibilities for the industry and for investors ahead – as well as key challenges.