Asset owners increasingly switch on to transition risk issues

Institutional investors and pension plan sponsors are now paying far more attention to how their transition managers are mitigating portfolio risks during the transition, and how this affects financial results after the transition is completed, they say.

Before the crisis, “their perception of risks – whether [the transition managers] were using value at risk or other methodologies – were decoupled from their financial results or performance of their portfolio during that period. There was a

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