This LGIM report, authored by Marc Rovers, explores integrating climate considerations into fixed income portfolios for sustainable and financial returns.
• Dual Goals: Climate impact and financial performance can align through active engagement and tailored climate strategies.
• Innovative Tools: LGIM’s Destination@Risk framework evaluates temperature alignment and climate risk to guide investment decisions.
• Investment Strategies: Focus on issuers transitioning to net zero, targeting decarbonization and improved climate metrics while balancing yield opportunities.
For an in-depth look at LGIM’s approach to future-proof portfolios through climate-focused active management, access the full report.