Frameworks, reports, newsletters, guides and templates curated for sustainability professionals across Asia Pacific and beyond.
ArticleA global salary deep-dive across roles, seniority levels, sectors, and regions.
ArticleA five-year-old industry initiative has produced the largest standardised sustainability dataset private markets have ever had. Here is where it stands.
ArticleChoosing an ESG assurance provider starts with who is permitted, not who is best. Eligibility by jurisdiction, limited versus reasonable, standards and independence.
ArticleESRS double materiality and ISSB single materiality overlap more than most companies realise. How the two compare, what changed in 2026, and how to run one assessment.
ArticleCanada's mandatory climate rule is paused, not coming. What NI 51-107 proposed, how CSDS aligns with ISSB, and which obligations bind issuers right now.
ArticleChina, the UAE and Brazil have all changed their sustainability disclosure rules. What multinationals need to know about mandates, reversals and deadlines.
ArticleCompare Scope 3 rules in California, the UK and EU: timelines, categories, value-chain data expectations and assurance, and what multinationals should build now.
ArticleESG success isn't built on reporting alone. Here's the 5-stage framework, covering strategy, leadership, execution, data, and risk, that turns intent into results.
ArticleIn just over 200 years, the planet has shifted from thriving and balanced to strained and overdrawn. Here's how we got here and why the decisions businesses make now will decide what comes next.
ReportPDFThe Global Risks Report 2026, the 21st edition of this annual report, marks the second half of a turbulent decade. The report analyses global risks through three timeframes to support decision-makers in balancing current crises and longer-term priorities. Chapter 1 presents the findings of this year’s Global Risks Perception Survey (GRPS), which captures insights from over 1,300 experts worldwide. It explores risks in the current or immediate term (in 2026), the short-to-medium term (to 2028) and in the long term (to 2036). Chapter 2 explores the range of implications of these risks and their interconnections, through six in-depth analyses of selected themes. Below are the key findings of the report, in which we compare the risk outlooks across the three-time horizons.