What role can the financial community play in advancing important societal issues? Three executives share insight on greater engagement and collaborating with other sectors.
Portfolio manager Christopher Sharpe reviews trends in target date investing, with a focus on hybrid funds that combine active and passive strategies.
What the proposed rule for ERISA plans could mean for ESG investment selection is discussed with employer-sponsored retirement plan expert Bradford Campbell.
Learn about the target date retirement funds that use ESG (environmental, social, governance) factors in the investment process.
CEO/CIO Jens Peers discusses the growing interest in ESG investing and Mirova’s long history and experience with sustainable strategies.
Phil Jordan of BW Research discusses the benefits and policies most likely to help attract and retain top talent in today’s evolving US workforce.
Veteran target date manager Chris Sharpe discusses how target date funds can make it easier for investors to stay the course in changing markets.
Institutions face an environment without precedent in global politics, finance and economics. They are developing creative solutions to navigate it, drawing on a wider variety of assets and resources than ever to pursue their investment mandates.
Portfolio Manager Jens Peers discusses Mirova’s sustainable investing strategies in the context of the coronavirus pandemic and market volatility.
Demographic, technological, environment, and governance transitions can present opportunities for investors focused on risk and sustainability.
A diverse workforce challenges conventional thinking and creates a more dynamic and rewarding work environment. It may also lead to better experiences for clients.
The Executive Director of The Solar Foundation explains why they chose the Natixis Sustainable Future Funds® for the foundation’s 401(k) plan.
Gauging the environmental and social impact of utility companies requires a look at how their energy source mix may impact their long-term sustainability.
Mirova’s Fixed Income Team examines the strengths and shortcomings of the principles that serve as an industry standard for structuring green bonds.
The Head of Corporate Social Responsibility and ESG at Natixis Investment Managers discusses the range of approaches to sustainable investing based on investors’ goals.
Portfolio Manager Amber Fairbanks discusses ESG integration, impact investing and Mirova’s global sustainable equity investment strategy.
It’s time to challenge many of the biggest misconceptions about ESG and sustainable investing so that conversations can be more productive.
How higher education and tax-exempt organizations can answer the call for more sustainable retirement investing practices.
Incorporating sustainability analysis in an investment strategy may help uncover opportunities and avoid potential risks.
History tells us that companies focused on long-term sustainable growth can deliver better portfolio opportunities to investors than companies fixated on their past success.
See why identifying funds with positive ESG momentum may be a more effective predictor of future performance than the ESG rating alone.
Perspectives on investing for a low carbon world and delivering competitive returns from a Mirova sustainable investments research analyst.
Individuals and professionals say ESG investing can help them align assets with personal values — and has the potential to drive real results.
Take a closer look at the current and future state of environmental, social, and governance (ESG) investing, the metrics that matter, and growth outlook.
See why the Shelton Group uses the Natixis Sustainable Future Funds® in their 401(k) plan.
Investor motivations, perceptions, and knowledge gaps that may influence the state of California’s green bond market.