Module 3: Different approaches to ESG analysis

Industry experts discuss the different approaches to ESG equities analysis and risk measurement including qualitative and quantitative strategies, and how to assess ESG risks issues using risk-mapping methodologies.

ESG Module 3.1

Module 3.1: Incorporating ESG factors into equity analysis 

Mark Belsey, Senior Healthcare Investment Analyst at NNIP, demonstrates evolving methodologies for incorporating ESG factors into European equity analysis.
Module 3.1

Module 3.2: Applying ESG in consumer stocks 

Andrea Perales Padrón, an ESG Analyst at Aviva Investors, discusses why adopting an ESG integrated to consumer stock analysis is a core strategy to success.
Module 3.2
ESG Module 3.3

Module 3.3:
ESG in fixed income and equities 

Claudia Gollmeier, Managing Director, Senior Investment Officer at Colchester Global Investors, compares ESG integration of fixed income and equities with a view to reducing risk.
Module 3.3
ESG Module 3.4

Module 3.4: ESG Scorecards in Credit Analysis

Nick Kordowski, CFA, Head of Non-Financial Research, Fixed Income at Aberdeen Standard Investments, outlines why ESG scorecard for credits assists in transparency and helps demonstrate impact.
Module 3.4

Related Articles

Module 1: Introduction to ESG Investing: Does it work? 

Module 2: Best Practice in ESG integration


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