Aligning investment portfolios with a 2°C scenario is gradually becoming a methodological challenge for European investors. Among other tools, climate-related exclusion policies are gaining traction and broadening their range to include other fossil fuel sectors beyond coal, while sometimes introducing exceptions for companies “in transition”.
In this webinar for Novethic’s special report on the current exclusion strategies and trends, you will also hear insights from asset managers who have developed tailored fossil fuel exclusion policies.
Speakers include:
- Harry Granqvist , Senior ESG Analyst, Nordea Asset Management
- Nicolas Redon, Green Finance Expert, Novethic