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Sustainable Sovereigns: Integrating ESG Analysis into Government Debt Research

Brown Advisory

Focus on Risks and Opportunities: Our ESG research approach seeks to assess ESG risk management, and identify sustainable opportunities that address key environmental and/or social challenges, which we believe can lead to improved performance and impact. Our approach is consistent and systematic across our platform.

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Sustainable Sovereigns: Integrating ESG Analysis into Government Debt Research

Brown Advisory

Focus on Risks and Opportunities: Our ESG research approach seeks to assess ESG risk management, and identify sustainable opportunities that address key environmental and/or social challenges, which we believe can lead to improved performance and impact. Our approach is consistent and systematic across our platform.

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Sustainable Sovereigns: Integrating ESG Analysis into Government Debt Research

Brown Advisory

Focus on Risks and Opportunities: Our ESG research approach seeks to assess ESG risk management, and identify sustainable opportunities that address key environmental and/or social challenges, which we believe can lead to improved performance and impact. Our approach is consistent and systematic across our platform.

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Sustainable Sovereigns: Integrating ESG Analysis into Government Debt Research

Brown Advisory

Our sustainable investing philosophy and process were developed in-house and are supported by a robust team of ESG research analysts, portfolio managers and other dedicated professionals. ESG risks and sustainable opportunities ultimately have an impact on a country’s potential for economic growth and political stability.

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Transcript: Armen Panossian

The Big Picture

Not, not terribly busy in 2007 to be honest, but in 2008, 2009, 10, it was by far the busiest time in my career in investing. So you have almost a doubling of the interest coupon paid by some of these businesses against the backdrop of c ovid 19 inflation and some of the economic pressures that come with, with those factors.

Banking 130
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Transcript: Graeme Forster, Orbis Investments

The Big Picture

I want to get into that before we start talking about asset management. A degree in mathematics from Oxford, a doctorate in mathematical epidemiology and economics from Cambridge. And you do a lot of work with infinity [Barry Ritholtz] : 00:03:29 [Speaker Changed] And then economics, which is a little bit squishier.

Investing 130
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Transcript: Tom Rampulla

The Big Picture

And Wall Street didn’t work out for a variety of reasons, but I ended up working sort of an adjacent industry in the portfolio management software business, and really wasn’t where my passion was. You know, we do the typical stuff, market economic outlooks and research there, product research. in June of 2009.