Biography

Edward Kamonjoh is an Executive Director of Impact Management for Calvert Research and Management. He is responsible for leading the efforts to push companies to prove the impact their environmental, social and governance (ESG) practices achieve. He joined Calvert Research and Management in 2020. Edward began his career in the investment management industry in 2003. He has extensive corporate governance and ESG experience, and has worked with some of the world’s largest institutional investors on corporate governance and ESG topics to assess the completeness of their investment policies and evaluate whether their corporate governance practices comport with underlying investment mandates, fiduciary obligations and risk management objectives. Before joining Calvert Research and Management, he was executive director for the 50/50 Climate Project, a not-for-profit resource and action center for institutional investors focused on increasing the climate competency of boards of directors of large publicly traded corporations. The project emphasizes accountability for risk management, incentive compensation and long-term strategic planning. Previously, he was head of U.S. strategic research and analysis at Institutional Shareholder Services (ISS), headed ISS’ research team and was a member of ISS’ Global Policy Board. Edward earned a B.A. in economics and a B.A. in computer science both from Earlham College. He has authored several publications and studies on corporate governance, environmental and social topics.
 
 
Edward is a member of the Calvert Research and Management
 
 

Potrebbe non includere tutti i membri del Team.

Il contenuto della presente pagina ha esclusivamente scopo informativo. È destinato a emittenti terzi e a coloro che cercano informazioni relative a strategie di investimento alternative. Le informazioni ivi contenute non rappresentano e non sono da intendersi come un’offerta di servizi di consulenza né come un’offerta di vendita o una sollecitazione all’acquisto di titoli in una giurisdizione nella quale tale offerta, sollecitazione, acquisto o vendita siano proibiti in base alle leggi in materia di titoli, assicurazione o alle altre leggi di tale giurisdizione.

Tutti gli investimenti comportano rischi, tra cui la perdita del capitale. Gli investimenti alternativi sono speculativi e comportano un rischio elevato. Questi investimenti sono adatti agli investitori che comprendono tale genere di rischi e sono disposti ad accettarli. Le performance possono essere volatili e gli investitori possono perdere la totalità o una quota consistente del capitale investito.

Fare riferimento alla pagina dei dettagli della strategia per informazioni importanti sulla strategia e ulteriori considerazioni sui rischi.

 

La presente comunicazione ha carattere promozionale.

It is important that users read the Terms of Use before proceeding as it explains certain legal and regulatory restrictions applicable to the dissemination of information pertaining to Morgan Stanley Investment Management's investment products.

The services described on this website may not be available in all jurisdictions or to all persons. For further details, please see our Terms of Use.


Privacy & Cookies    •    Istruzioni per l'uso

©  Morgan Stanley. All rights reserved.