FinanceMap provides public-facing metrics and analysis of the asset management sector through a climate lens. It measures portfolios, the investor-company engagement process, and shareholder resolutions based on best-available public data combined with rigorous analysis. Use the search bars and filters below to assess funds, asset managers, or market trends.


About FinanceMap

FinanceMap is designed to help asset owners and individual investors better understand the fund management sector on climate change. It is also aimed at asset managers themselves by providing best practice and fund benchmarking information.


Portfolio Analysis

FinanceMap's Paris Portfolio Alignment methodology (based on PACTA) considers the underlying assets controlled by the companies in the portfolio and their future evolution with IEA climate scenarios.



FinanceMap's methodology to measure the engagement process on climate was developed in consultation with several of the world's leading asset managers. We combine this with metrics on climate-relevant shareholder resolutions.


FinanceMap's full functionality for portfolio and engagement/resolution analysis will be launched in late 2019.
To receive an updated notification of our beta launch, please email info@influencemap.org with "FinanceMap Launch" in the header.

See our report Asset Managers and Climate Change, released on November 27th 2019.