The past 15 years, responsible investing in Australia has evolved from a fringe practice to one of the top investment trends with responsible investing assets now on the cusp of AUD 1 trillion. To support this growing market, the report offers:
- a comprehensive ESG risk assessment of the S&P/ASX 200
- an analysis of the three dominant themes in Australia – energy and climate policy, modern slavery in supply chains, and ethics in the financial sector
- an exploration of how investor could integrate ESG data into three equity strategies – high conviction, enhanced passive and a thematic climate change approach