Fraud risks and corruption, climate change and social injustice. These factors are gaining more attention from investors.
This growing level of interest has also been prompted by forthcoming legislation which expects that factors should be taken into account which as yet are not fully reflected in company P&L accounts. It is clear that the financial markets are on the threshold of major change.
How should investors respond to these developments? In a series of articles European Investors will examine the products on offer which focus on good governance, sustainability and climate-related risks.