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Climate risk – are we doing enough?

Energy 3.0 investigates the third energy transition as the world moves to a decarbonised growth model.

It looks at past energy transitions, structural growth areas and the need for positive investment.

The series proposes a decision-making framework to help asset owners assess and report on the impact of climate risk on their portfolios.

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How a global currency shift may surprise investors

The de-dollarisation series explores ongoing moves to erode dollar dominance and the shift to a multi-currency international monetary order.

After nearly seven years of a dollar up cycle, a global currency shift may surprise asset owners, who should be aware that the nature of the unfolding opportunity may well be a secular one, and not just a cyclical one.

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New frontiers in sovereign debt investing

Could advances in geo-spatial research transform sovereign debt investors’ ability to address environmental risks?

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