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Newton Portal
Canada Canada

Blog

sustainable

ESG and data: the need for consistency
Blog

ESG and Data: The Need for Consistency

We assess the need for global consistency and guidelines on sustainable investment.

Ian Burger
March 17, 2022
Responsible investment, Sustainable
Emerging markets: three drivers of long-term growth
Blog

Emerging Markets: Three Drivers of Long-Term Growth

We discuss three key drivers of sustainable growth in emerging markets and the importance of strong corporate governance.

Ian Smith
February 9, 2022
Emerging markets & Asia, Responsible investment, Sustainable
How fixed income can help deliver net zero
Blog

How Fixed Income Can Help Deliver Net Zero

We outline our thoughts on the prospects for global fixed-income markets as we move towards a low-carbon economy.

Scott Freedman
December 22, 2021
Fixed income, Sustainable
Engaging for healthy markets
Blog

Engaging for Healthy Markets

We discuss the benefits of collaborative engagement to reduce the social health impacts of the global food system.

Rebecca White
November 19, 2021
Responsible investment, Sustainable
COP26: an inconvenient truth
Blog

COP26: An Inconvenient Truth

We explore the realities of carbon emissions and how emerging markets are key to achieving net zero.

Laura Sheehan, Ian Smith
November 17, 2021
Emerging markets & Asia, Sustainable
Preserve and protect 
Blog

Is Regenerative the New Sustainable?

We discuss how regenerative agricultural practices go beyond ‘sustainable’.

Rebecca White
October 1, 2021
Responsible investment, Sustainable
Power Plant, Building, Pollution
Blog

The High Price of Global Recovery

Why governments must lead on climate change

Newton responsible investment team
September 15, 2021
Responsible investment, Sustainable
Preserve and protect 
Blog

Why Biodiversity Is an Engagement Priority

We explain why biodiversity matters.

Rebecca White
August 16, 2021
Responsible investment, Sustainable
Climate change: is a just transition possible?
Blog

Climate Change: Is a Just Transition Possible?

Why climate change is not just an environmental issue.

Rebecca White
July 30, 2021
Responsible investment, Sustainable
Pushing back on plastic
Blog

Pushing Back on Plastic

As Plastic Free July continues, we assess opportunities around reducing the environmental impact of plastic and packaging waste.

Newton global research team
July 21, 2021
Responsible investment, Sustainable, Themes
From niche to mainstream
Blog

From Niche to Mainstream

How sustainable fixed-income investing is growing in prominence, and why an active approach makes sense.

Catherine Doyle
June 29, 2021
Fixed income, Responsible investment, Sustainable
Nature, Outdoors, Field
Blog

Feeding a Sustainable Future

We explain why and how we are engaging with companies and partners to improve the global food-supply chain.

Rebecca White
June 9, 2021
Sustainable
At a tipping point
Blog

At a Tipping Point?

Why the social element of ESG could soon be receiving the same level of scrutiny as environmental factors.

Newton responsible investment team
May 28, 2021
Responsible investment, Sustainable
Does ‘ESG’ spell ’embellished shiny grading?’
Blog

Does ‘ESG’ Spell ‘Embellished Shiny Grading?’

The hyper focus on sustainable investing is reminiscent of previous bubbles, specifically the dot.com boom and bust.

Newton responsible investment team
April 29, 2021
Responsible investment, Sustainable
Earth Day 2021: The Road to Net Zero
Blog

Earth Day 2021: The Road to Net Zero

We assess how the pandemic has sharpened the focus of energy companies on the low-carbon energy transition.

Laura Sheehan
April 22, 2021
Responsible investment, Sustainable
Engaging for a Greener Future
Blog

Engaging for a Greener Future

Why engagement can be an effective way to support the energy sector’s transition to a lower-carbon future.

Newton responsible investment team
December 15, 2020
Responsible investment, Sustainable, Themes
Fast forward: A journey to the future of investment
Blog

The Future Today: Key Trends Shaping the Investment Landscape

We analyze how the pandemic is shaping key trends affecting the investment landscape today and in the future.

Curt Custard
November 18, 2020
Coronavirus, Global equities, Macro views, Real Return, Responsible investment, Sector research, Sustainable, Themes
Fast forward: A journey to the future of investment
Blog

Tomorrow’s World: Fast Forward to a Sustainable Future

We examine how the pandemic might pave the way to a more sustainable future.

Newton responsible investment team
November 17, 2020
Coronavirus, Responsible investment, Sector research, Sustainable, Themes
Coal, Covid-19 and the rise of renewables
Blog

Coal, Covid-19 and the Rise of Renewables

What legacy will the dwindling use of coal leave for the energy industry and investors in renewables?

Paul Flood
August 12, 2020
Coronavirus, Multi-asset, Sector research, Sustainable
Blog

The Danger of ‘SDG Washing’

Despite good words and intentions, corporate and government support for the UN’s Sustainable Development Goals is falling behind.

Newton responsible investment team
August 3, 2020
Responsible investment, Sector research, Sustainable
Doing the right thing: ESG and EMD
Blog

Doing the Right Thing: ESG and EMD

We analyze the importance of sound governance and disciplined ESG analysis when selecting emerging-market government bonds.

Carl Shepherd, Trevor Holder
July 28, 2020
Emerging markets & Asia, Fixed income, Responsible investment, Sector research, Sustainable
Why the global recovery shouldn’t cost the planet
Blog

Why the Global Recovery Shouldn’t Cost the Planet

We assess the potential for a more sustainable recovery from the latest global crisis.

Newton responsible investment team
July 14, 2020
Coronavirus, Newton philosophy, Responsible investment, Sector research, Sustainable
Planting the seeds
Blog

Planting the Seeds for Sustainable Agriculture

What did our visit to an underground farm teach us about agricultural innovations?

Rebecca White
November 27, 2019
Responsible investment, Sector research, Sustainable
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This is a financial promotion. Issued by Newton Investment Management Limited, The Bank of New York Mellon Centre, 160 Queen Victoria Street, London, EC4V 4LA. Registered in England No. 01371973. Newton Investment Management is authorised and regulated by the Financial Conduct Authority, 12 Endeavour Square, London, E20 1JN and is a subsidiary of The Bank of New York Mellon Corporation. Newton is registered with the SEC as an investment adviser under the Investment Advisers Act of 1940. Newton’s investment business is described in Form ADV, Part 1 and 2, which can be obtained from the SEC.gov website or obtained upon request. Material in this publication is for general information only. The opinions expressed in this document are those of Newton and should not be construed as investment advice or recommendations for any purchase or sale of any specific security or commodity. Certain information contained herein is based on outside sources believed to be reliable, but its accuracy is not guaranteed. You should consult your advisor to determine whether any particular investment strategy is appropriate. This material is for institutional investors only. Past performance is not a guide to future performance. Your capital may be at risk. The value of investments and the income from them can fall as well as rise and investors may not get back the original amount invested. Unless you are notified to the contrary, the products and services mentioned are not insured by the FDIC (or by any governmental entity) and are not guaranteed by or obligations of The Bank of New York or any of its affiliates. The Bank of New York assumes no responsibility for the accuracy or completeness of the above data and disclaims all expressed or implied warranties in connection therewith. © 2006 The Bank of New York Company, Inc. All rights reserved. Securities in Canada are offered through BNY Mellon Asset Management Canada Ltd. (MAML), registered as a Portfolio Manager and Exempt Market Dealer in all provinces and territories of Canada and as an Investment Fund Manager and Commodity Trading Manager in Ontario. MAML is an indirect wholly owned subsidiary of The Bank of New York Mellon Corporation and is an affiliate of Newton’s. Unless otherwise indicated, all financial data is shown in U.S. dollars. This document has been provided in Canada by MAML for use with institutional investors only and may not be redistributed without authorization.