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Abstract

Details

Collection Building, vol. 24 no. 3
Type: Research Article
ISSN: 0160-4953

Keywords

Content available
Article
Publication date: 1 December 2004

Scott Walter

101

Abstract

Details

Collection Building, vol. 23 no. 4
Type: Research Article
ISSN: 0160-4953

Keywords

Content available
Article
Publication date: 23 January 2007

Scott Walter

212

Abstract

Details

Collection Building, vol. 26 no. 1
Type: Research Article
ISSN: 0160-4953

Keywords

Content available
Book part
Publication date: 30 August 2019

Ellis Cashmore

Abstract

Details

Kardashian Kulture
Type: Book
ISBN: 978-1-78743-706-7

Content available
345

Abstract

Details

Library Review, vol. 56 no. 6
Type: Research Article
ISSN: 0024-2535

Keywords

Open Access
Article
Publication date: 12 May 2022

Noelle Greenwood and Peter Warren

Framed within global policy debates over the need for private financial flows to align with the capital requirements of the Paris Agreement, this paper examines UK asset managers…

4360

Abstract

Purpose

Framed within global policy debates over the need for private financial flows to align with the capital requirements of the Paris Agreement, this paper examines UK asset managers in their approaches to disclosing and managing climate risk. This paper identifies and evaluates climate risk management practices among this under-researched investor group in their capacity to address fundamental behavioural obstacles to low-carbon investment.

Design/methodology/approach

This paper takes an inductive approach to document analysis, applying content and thematic analysis to the annual disclosures of the 28 largest UK asset managers (by assets under management), including the investment management arms of insurance and pension companies.

Findings

The main takeaway from this research is that today’s climate risk management strategies hold potential to effectively address traditionally climate risk-averse investor behaviour and investment processes in the UK asset management context. However, this research finds that the use of environmental, social and governance (ESG) investment strategies to mitigate climate risks is a “grey area” in which climate risk management practices are undefined within broad sustainability and responsible investment agendas. In doing so, this paper invites further research into the extent to which climate risks are considered in ESG investment.

Originality/value

This paper contributes to research in sustainable finance and behavioural finance, by identifying the latest climate risk management techniques used among UK-headquartered asset managers and uniquely evaluating these in their capacity to address barriers to low-carbon investment arising from organisational behaviours and processes.

Details

International Journal of Climate Change Strategies and Management, vol. 14 no. 3
Type: Research Article
ISSN: 1756-8692

Keywords

Content available
Article
Publication date: 1 October 2005

Lotta Haglund

446

Abstract

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Library Management, vol. 26 no. 8/9
Type: Research Article
ISSN: 0143-5124

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Content available
Article
Publication date: 22 May 2009

Martin Holdsworth

90

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Strategic Direction, vol. 25 no. 7
Type: Research Article
ISSN: 0258-0543

Content available
Article
Publication date: 1 October 2005

98

Abstract

Details

Library Hi Tech News, vol. 22 no. 9
Type: Research Article
ISSN: 0741-9058

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