Carbon Methodology

This methodology paper is primarily aimed at asset managers and finance industry professionals who would like to measure the weighted average financed emissions (EVIC) of their portfolios, reweighted for equity only.

FacebooktwitterlinkedinmailFacebooktwitterlinkedinmail   by Louisiana Salge, 7th July 2022

This paper explains the methodology we have used in calculating carbon emission values.

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    Louisiana Salge

    Louisiana joined EQ in October 2018, is now responsible for innovating EQ’s approach to sustainable investing, sustainable investment thought-leadership and ensuring regulatory adherence. Louisiana oversees EQ’s ESG and impact integration strategy across all assets & funds, EQ’s stewardship efforts and sustainability data reporting. Louisiana graduated with a Masters in Environmental technology from Imperial College London, and holds a BSc in Geography from UCL. She also holds the CFA IMC, CFA ESG & CFA Climate change and Investing qualification. Outside of her career, Louisiana loves travelling and discovering new places, working in her community garden, and cooking with friends.

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