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2025 ESG and sustainability Barometer

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Tag12Valor
LDR  00000cam a22000004 4500
001  MAP20250005365
003  MAP
005  20250402172715.0
008  250402s2025 gbr|||| ||| ||eng d
040  ‎$a‎MAP‎$b‎spa‎$d‎MAP
084  ‎$a‎921.94
24510‎$a‎2025 ESG and sustainability Barometer
260  ‎$a‎London‎$b‎MainStreet Partners‎$c‎2025
520  ‎$a‎The document provides a comprehensive assessment of ESG and Sustainability-related trends in the European and UK fund market, based on its holistic three-pillar methodology: asset manager assessment, fund strategy analysis and portfolio composition assessment. It analyses over 9,500 investment strategies managed by more than 460 asset managers, evaluates key ESG and Sustainability-related trends in the European and UK fund markets. It also highlights a clear downward trend in asset manager ratings across each Sustainable Finance Disclosure Regulation (SFDR) classification and non-EU ratings
650 4‎$0‎MAPA20090037380‎$a‎Inversiones socialmente responsables
650 4‎$0‎MAPA20230001899‎$a‎Criterios ESG
650 4‎$0‎MAPA20080591014‎$a‎Fondos de inversión
650 4‎$0‎MAPA20120019492‎$a‎Tendencias
650 4‎$0‎MAPA20080597641‎$a‎Mercados financieros
7102 ‎$0‎MAPA20250001268‎$a‎MainStreet Partners
856  ‎$q‎image/jpeg‎$w‎1127339‎$y‎Portada
856  ‎$u‎https://esgeverything.com/papers/2025-esg-barometer/