You are here: Home Resources Reports Investors Analyze Climate Risks and Opportunities: A Survey of Asset Managers' Practices
Document Actions
  • Print this Print this
  • Email this page

Investors Analyze Climate Risks and Opportunities: A Survey of Asset Managers' Practices

January 2010 - The report highlights specific best practices that asset managers are using to incorporate climate risks into their due diligence, corporate governance and portfolio valuation. It also outlines questions that institutional investors can be asking asset managers – in requests for proposals (RFPs) and in annual performance reviews – to better ensure that managers are giving climate change risks and opportunities the attention they deserve.

January 2010 - The report highlights specific best practices that asset managers are using to incorporate climate risks into their due diligence, corporate governance and portfolio valuation. It also outlines questions that institutional investors can be asking asset managers – in requests for proposals (RFPs) and in annual performance reviews – to better ensure that managers are giving climate change risks and opportunities the attention they deserve.

This Download Requires Registration

Please provide your contact information to view or download the resource. We will use and store the personal information that you provide (e.g., your e-mail address, name, organization) only for tracking distribution of our reports and resources. By registering, you give us permission to email you with occasional updates about the report (i.e. webinars, events), but you will not be added to any email lists unless you sign up for the Ceres Newsletter. We promise not to sell, rent or share your personal information with any third parties.