Inrate selected for Norwegian Pension Fund ESG Monitoring

Blogs Articles

How Companies Address Biodiversity Risk: Insights from ESG Rating Analysis

Nature risks are fast becoming systemic risks that touch every part of the economy. Like climate change, the loss of biodiversity and ecosystem services now poses a real threat to financial stability, business continuity, and food security. Central banks, investors,...

What Is OECD Screening and Why It Matters for Financial Institutions

OECD screening is an evaluation method that assesses investments and business partners against the OECD Guidelines for Multinational Enterprises. These guidelines cover human rights, labor standards, environmental responsibility, anti-corruption, responsible supply...

Understanding How ESG Ratings Change Over Time:A Transition Rate Matrix Approach

A recent PwC study projects that investments incorporating ESG considerations are expected to reach US $145.4 trillion by 2025. i This surge underscores how rapidly ESG ratings have evolved into a cornerstone of modern investment strategies. As sustainability...

Investing with Purpose: How Nature and Biodiversity Funds Drive Sustainable Impact

In the evolving world of sustainable finance, investors are beginning to look beyond carbon. As the climate crisis intensifies, another equally urgent challenge is rising to the forefront — the loss of nature and biodiversity. The degradation of forests, oceans, and...