Browse our comprehensive collection of research reports, white papers, policy briefs, case studies, and educational resources on sustainable investment and ESG.
Our flagship annual report providing comprehensive analysis of sustainable investment trends, market size, and regulatory developments across 40+ countries.
A granular mapping of physical and transition climate risks across 60 sub-industries, with scenario analysis and portfolio-level implications for investors.
A living policy brief tracking the adoption of IFRS S1 and S2 sustainability disclosure standards across jurisdictions, with implementation timelines and key differences.
Exploring how investors can incorporate biodiversity risks into portfolio construction following the TNFD framework, with practical implementation guidance and case examples.
A comprehensive guide covering ESG integration, materiality analysis, data sources, and common pitfalls — designed for finance professionals new to sustainable investing.
Real-world case studies examining how five leading impact funds implement IRIS+ metrics, manage impact data, and report outcomes to limited partners.
An in-depth analysis of the sustainability-linked bond market, including structural features, KPI selection, verification practices, and performance versus use-of-proceeds bonds.
A proprietary framework for measuring and reporting the alignment of investment portfolios with the UN Sustainable Development Goals, including methodology and worked examples.
A policy brief examining the first three years of SFDR implementation, identifying persistent challenges in Article 8/9 classification and offering recommendations for improvement.