Portfolio analysis

Portfolio construction analyses, methodologies and general approaches, based on hypothetical and existing portfolios, to help managers achieve sustainability goals. Research includes sectoral and top-down analyses, Exchange Traded Funds, Credit Default Swaps and reviews of market indices.

All Bond spotlight Sustainability-Linked Bonds Climate risk pricing Fossil lending Nature loss Transparency Sovereigns and central banks Portfolio analysis Quantitative research
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Carbon negative leveraged investment strategies

12/08/2021

In this report we explain how to apply and account for leverage and short positions in the context of carbon footprinting.

Financial candles on a screen.

"Passive" money and new thermal coal mine builds

29/07/2021

In this report, we explore the passive investments made in the relationship between Adani and Carmichael.

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Petrochemicals: Major credits, carbon risks, green bonds

10/05/2021

In this report, we provide an analysis of chemical company bond exposures and benchmark credit.

An overhead photo of a road submerged by floodwater.

The oil rally and low carbon credit performance

21/04/2021

Despite the rise in oil prices, low carbon bonds outperformed higher carbon emitting ones

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Low carbon credit performance in a 400% oil rally

24/03/2021

Amidst extreme price increases in fossil resource prices, low carbon credit relative performance remains robust.

Financial candles on a screen.

Low carbon credit performance 2015-2020

27/01/2021

Low carbon has produced stable excess returns versus traditional credit.

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Low carbon credit performance: 2020 Q3 update

13/10/2020

Low carbon credit robustly outperforms a traditional portfolio, based on two indices.

Financial candles on a screen.

ESG in CDS indices

14/08/2020

Here, we draw some conclusions on how ESG CDS indices should be used.

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