Skip to content
    1. Alternative Managers
    2. Consultants
    3. Corporations
    4. Family Offices
    5. Financial Advisors
    6. Financial Institutions
    7. Individuals & Families
    8. Insurance Companies
    9. Investment Managers
    10. Nonprofits
    11. Pension Funds
    12. Sovereign Entities
    13. View All
  1. Contact us
  2. Search
  3. Client LoginClient Login

ESG Insights

With a growing range of environmental, social and governance (ESG) and climate risk factors playing a heightened role in investor considerations, draw on Northern Trust’s analytics capabilities to achieve greater transparency and actionable insights across your portfolio.

Reporting options available via our ESG Insights suite of solutions provide the data you require to help enhance transparency over your portfolio and gain insights into potential risks or opportunities. This allows you to incorporate both ESG and climate risk factors into your investment decision-making processes and to support disclosure requirements

 

SPECIALIST ANALYTICS SUPPORTING YOUR OVERSIGHT AND GOVERNANCE


ESG Insights reporting can be used for a range of purposes, including to:

  • Provide evidence of your portfolio’s consolidated ESG scores and exposures
  • Monitor changes in your portfolio’s ESG and climate risk profile over time
  • Support your adherence to regulatory requirements
  • Gain insights into climate risks and opportunities, including detailed emissions information and forward-looking scenario pathway analysis
  • Access integrated views combining ESG performance and investment performance in our investment analytics tool, RADAR™

 

UNDERSTAND YOUR ESG EXPOSURES


Gain a top-down view across assets in your portfolio on a periodic basis, including:

  • An overview of key ESG metrics within each of the three ESG pillars
  • Climate risk metrics designed to align with the Task Force on Climate-Related Financial Disclosures (TCFD) framework
  • Relative comparisons versus a representative benchmark
  • Individual manager-by-manager comparison of key measures
  • Overviews of top 10 and bottom 10 asset level exposures
  • Listed equities and corporate bond asset coverage
  • Mutual/pooled fund inclusion also available

 

Related Content