2022 Canadian RI Trends Report
The 2022 Canadian Responsible Investment Trends Report confirms that RI’s recent momentum is giving way to demand for sophistication and more vigilant reporting, signaling a maturing industry.
With its updated methodology, the report affirms that RI is entrenched in Canada, with reported assets under management at $3 trillion, and 94% of respondents using ESG integration as an RI strategy. This marks the emergence of a reliable baseline for RI market share and demonstrates that ESG Integration is a fundamental tool in Canadian investors’ decision-making. Read the Report
Key Highlights
- The vast majority (94%) of respondents are using ESG Integration, with investors using more RI strategies than ever before.
- Respondents’ top three reasons for considering ESG factors are: (1) to minimize risk over time, (2) to improve returns over time, and (3) to fulfill fiduciary duty.
- Survey respondents consider the top deterrent to growth in RI to be mistrust or concerns about greenwashing.
- The three most prominent RI strategies by AUM are: (1) ESG Integration, (2) Corporate engagement & shareholder action, and (3) Negative/exclusionary screening.
- Climate change is an overwhelming concern for responsible investors–-who also believe it is the greatest driver for growth over the next two years.