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Our approach to climate risk

Our approach to climate risk

Climate change brings risks that we need to manage. It is important to us to have a clear, progressive and appropriate plan in place.

We are all aware of climate change and the challenges it creates for us as a world. It doesn’t just threaten the quality of our day to day lives but is a risk to virtually every sector of business and the world’s economy.

We can limit the rise in global temperature to 1.5 degrees Celsius above the level it was at the start of the modern industrial era if we all start to reduce greenhouse gas emissions drastically now. This target is the ambition of the Paris Agreement on climate change, which is a landmark international agreement adopted by nearly every nation in 2015. It includes a commitment to cut greenhouse emissions to achieve a zero emissions world by 2050.

The world needs to shift its reliance from fossil fuels like oil, gas and coal to renewable energy sources like solar, wind and geothermal. This ‘energy transition’ needs investment, and pension funds like us can help with this.

We have focused our approach on three objectives. The first is to invest directly in companies that provide renewable energy or whose core purpose is to develop technologies linked to tackling climate change. The second is to use our influence as a shareholder to drive change within a company we invest in, ensuring they are transitioning to carbon neutral status. The third is to move money from some of our existing investments into lower carbon or carbon neutral investments.

We believe achieving these objectives will give us strong investment returns and the ability to drive positive change, helping us reach our goal of ensuring all our investments meet the ambitions of the Paris Agreement.

Find out more about our engagement work from the publications below:

 

  • How we're investing for the energy transition

    A summary of how we are investing ready for the energy transition

  • Approach to climate risk

    Sets out GMPF's approach to managing climate risk within the Task Force Climate-related Financial Disclosures (TCFD) four thematic areas of governance, strategy, risk management and metrics and targets.

  • Responsible Investment Policy

    Find out more detail about our approach to responsible investment

  • Investment strategy statement

    Read about our approach to investing as well a how we are practicing responsible investment

  • Annual report and accounts

    Find out the latest investment performance in our report and accounts