Compare Portfolios
vs
1.5°C
Warming Potential
67
Total Footprint
98%
Megatrend Exposure
-15.6%
Net Return YTD
3.5°C
Warming Potential
56
Total Footprint
41%
Megatrend Exposure
0.7%
Net Return YTD
Bertrand Piccard
1.5°C
Warming Potential
Portfolio Warming Potential
Data source: Globalance and MSCI ESG
- high:
- 0%
- moderate:
- 0%
- low:
- 100%
FTSE 100
3.5°C
Warming Potential
Portfolio Warming Potential
Data source: Globalance and MSCI ESG
- high:
- 36%
- moderate:
- 40%
- low:
- 24%
Top 5 Assets
These are the assets with the lowest climate score in each of the two portfolios
Asset Name | Warming Potential | % of portfolio | |
---|---|---|---|
Yaskawa Electric Corporation | 1.3°C | 3.6% | |
Airtel Africa Plc | 1.3°C | 8.8% | |
SMA Solar Technology AG | 1.3°C | 5.3% | |
Scatec ASA | 1.3°C | 2.8% | |
Ballard Power Systems Inc. | 1.3°C | 2.7% |
Asset Name | Warming Potential | % of portfolio | |
---|---|---|---|
Croda International Plc | 1.3°C | 0.7% | |
SEGRO plc | 1.3°C | 0.8% | |
United Utilities Group PLC | 1.3°C | 0.4% | |
Severn Trent Plc | 1.3°C | 0.3% | |
BT Group plc | 1.3°C | 0.6% |
Bottom 5 Assets
These are the assets with the highest climate score in each of the two portfolios
Asset Name | Warming Potential | % of portfolio | |
---|---|---|---|
BYD Company Limited Class H | 1.9°C | 7.2% | |
CANCOM SE | 1.7°C | 3.6% | |
Accenture Plc Class A | 1.7°C | 5.4% | |
Umicore | 1.7°C | 4.1% | |
Nielsen Holdings Plc | 1.6°C | 7.6% |
Asset Name | Warming Potential | % of portfolio | |
---|---|---|---|
Melrose Industries PLC | 9.4°C | 0.4% | |
Mondi plc | 8.6°C | 0.4% | |
Smurfit Kappa Group Plc | 8.5°C | 0.5% | |
DCC Plc | 7.8°C | 0.3% | |
Anglo American plc | 6.8°C | 1.7% |