Asset managers are formalising approaches to systematic ESG integration across all asset classes – and sovereign debt is no exception. The PRI’s new Practical Guide to ESG Integration in Sovereign Debt will form the basis of discussions on:
• integrating ESG factors at the research, security and portfolio levels;
• the data sources and materiality of ESG factors in emerging and developed markets;
• the role of ESG engagement for sovereign debt investors.
Claudia Gollmeier, Senior Global Fixed Income Portfolio Manager, Colchester Global Investors
Nicolas Jaquier, Emerging Market Strategist, Allianz Global Investors
James Lockhart Smith, Head of Financial Sector Risk, Verisk Maplecroft
Michal Shinwell, Policy Analyst, OECD
Moderated by Anna Georgieva, Manager, Investment Practices, PRI