Our award-winning Sovereign ESG Ratings are used as a key input by J.P. Morgan’s ESG (JESG) Index Suite, providing investors with a robust sovereign ESG perspective through an industry-leading suite of fixed income ESG indices.
Legal & General Investment Management (LGIM) use the depth, breadth and accuracy of our portfolio of ESG risk analytics, which outperformed alternative data across a broad set of criteria, to power their Index Fixed Income Sovereign Risk ESG Future World fund range.
Our Sovereign ESG Ratings, risk analytics and research support investment managers, asset owners, hedge funds, and benchmark index providers with the data-driven intelligence needed to fully incorporate ESG and develop industry-leading sovereign ESG investing strategies.
ESG imperatives demand a different approach to sovereign ESG analysis
Learn moreOur Sovereign ESG Ratings and scores offer investors a unique perspective to analyse, understand and price material ESG, climate, natural capital and political risks for sovereign debt issuers.
Our unique Projections data provide forward-looking, simulation-based ESG and political risk projections for 130+ markets, delivering an unmatched, data-driven investment perspective.
Our 50+ ESG and country experts deliver proactive, data-driven insights and briefings on key markets and events, enabling you to make smarter, more informed investment decisions.
Where you have a particular need, we have the in-house expertise to deliver custom research, support and advice on sovereign ESG, climate, natural capital and political risks.
Our Sovereign ESG Ratings set a new standard for sovereign ESG analysis. They build on our industry-leading Global Risk dataset, spanning 1200+ proprietary indicators and covering all ESG, climate, natural capital, human rights and political risks.
Our 50+ ESG and country analysts – many with years of on-the-ground experience in emerging markets – underpin our proprietary data and provide you with in-depth intelligence and advice on incorporating ESG and political risks into investment decisions.
Your sovereign ESG investment approach is unique to you, so we provide flexible, customised solutions designed to fit your needs, whether that’s a data feed, analyst research, custom advisory work, all of the above, or something in between.
Research into our Sovereign ESG Ratings and data shows clear relationships with government bond spreads
Draw on our expert analysts’ specialist knowledge to better inform your investment decision-making
We cover all material and ethical sovereign ESG issues so you can build products that suit your clients
Use our sovereign ESG data to define exclusion lists and thresholds to comply with reporting requirements like SFDR
Download our guide to learn how asset managers can use our Sovereign ESG Ratings for portfolio construction and both high-level assessments and detailed analyses of issuers’ sustainability credentials.
Our whitepaper finds human rights and transition risk are now highly material for sovereign bond pricing.
Our ESG data informs Amundi study into sovereign bonds and credit ratings.
Our sovereign ESG data underpins EDHEC study into the impact of ESG factors on sovereign bonds.
ESG imperatives demand a different approach to sovereign ESG analysis.