What are the push points that investors face?

  • What are the new regulations and what can be expected?
  • Portfolio theory; going from 2D risk/return model to 3D risk/return/impact model, what are the challenges?
  • What can be measured?
  • How expensive will it be to measure and implement impact?

What hopes do investors have for impact implementation?

  • Better returns?
  • Better understanding of investments.
  • Increased transparency in their portfolio.