08 septembre 2013

‘Responsible Investing’ Is No Passing Fad, Report Says

http://chronicle.com/img/photos/biz/bottomline-45.pngBy Don TroopThe landscape is changing for so-called responsible investing, and  governing boards must adjust their strategies accordingly to gain a competitive advantage, according to a new report from the Commonfund Institute.
“Responsible investing” is the collective term given to three major categories of investing: socially responsible investing, or SRI; environmental, social, and governance investing, or ESG; and mission-related or impact investing. The combined responsible-investing market was worth some $3.74-trillion last year, an 11.2-percent share of the $33.3-trillion in total assets under management in the United States. More...

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