constraints, such as passive funds, ETFs, sector funds, and thematic funds. At the industry level, equity funds show moderate degree of similarity, 32.26%, likely to offer meaningful investment choice. Score
PotentialTiming Level Issuer Portfolio Present Breadth Macro Sector-level Micro Issue Categorising Material ESG Factors SEC Classification : ใชภ้ายใน (Internal) 11 Source: PRI Choosing Credit-relevant Time Horizons
....................................................................................... 15 2.2. Final sector breakdown and activities mapping ....................................................... 19 2.3. Traffic light system
scope 3 decarbonization targets if the emissions are material (at an asset and/or sector level) and where data is available. Set portfolio targets aligned with the global goal of tackling deforestation
these sectors may spill over to the financial sector • Impacts on companies operating in related industries 3. High Risk Industries • Retail: impact of digital disruption (or e-commerce). • Insurance
residual level that is consistent with reaching net-zero emissions at the global or sector level in eligible 1.5°C scenarios or sector pathways and; - (2) neutralizing any residual emissions at the net-zero
, financial sector, citizens, and non-profit organizations work together and within a common conceptual framework. Therefore, the country’s Taxonomy can provide such a framework whilst also making the rules of
SEC (Dec 2014) 6 Source: 2015 Investment Company Fact Book. Investment Company Institute. 2015 In the US, investor preference towards lower-cost funds makes the asset-weighted fees at the industry level
class. Set scope 3 decarbonization targets if the emissions are material (at an asset and/or sector level) and where data is available. Set portfolio targets aligned with the global goal of tackling
/timeliness of the research • Evaluation of the objectivity and independence of the recommendations 10 MATERIALITY Governance Climate Change Location Company-specific Sector/Industry Investment Horizon CFA