Portfolio managers face a busy agenda in terms of sustainable regulation (disclosure, taxonomy,...). The year 2022 is a key date and it is important to prepare for it now. But we believe that the major challenge for all financial product managers will be to be able to differentiate themselves through ESG reporting, methodology and strategy.
At the agenda:
- The regulatory agenda for financial products
- Interpretation & Integration
- ESG Reporting, Methodology and Strategy as a differentiating factor