TwentyFour Asset Management

How does ESG integration work at TwentyFour?

White Paper

At TwentyFour Asset Management, we believe ESG – Environmental, Social and Governance – factors are a are essential in helping to minimise long-term risks to the value of our investments, improving risk-adjusted returns for our clients and ensuring their capital is invested responsibly.

As an active manager, we believe that for ESG to work for investors, portfolio managers have to be accountable for the process and do their own ESG analysis.

This video explains how TwentyFour’s unique ESG integration process works, and how our purpose-built relative value tool, Observatory, allows our portfolio managers to monitor bond issuers’ ESG credentials on a daily basis.



TwentyFour Asset Management
TwentyFour Blog

How ESG Will Change the Face of Asset Management

As regular readers of this blog will know, TwentyFour has adopted ESG integration throughout its investment process for all strategies, and launched its first sustainable fund offering in January 2020. In doing so, we have engaged in some fascinating debates with clients and peers about the growing impact of ESG objectives on the fund management industry, and on fixed income markets in particular. Here are a few of our predictions for the years ahead.

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TwentyFour Asset Management
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TwentyFour Blog

Powell: The Bigger Picture

Yesterday we heard from US Federal Reserve Chairman, Jerome Powell, as he testified at the House Committee on Financial Services. Obviously the main focus for markets was to glean any additional information regarding the future timing and path of the Fed Funds rate. However, as important for fixed income investors as the future path for rates is, listening carefully to central bankers can also provide insight into the bigger picture economic environment. My ears pricked up in particular at two important and related topics Mr Powell discussed.

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