Sustainable Finance Management Market Report 2031 by Segments, Geography, Dynamics, Recent Developments, and Strategic Insights

Coverage: Sustainable Finance Management Market covers analysis By Type (Based on Asset Class, the market is divided into Equities, Fixed-income, Multi-asset, and Alternatives), By Offerings (Equity Funds, Bond Funds, and ETFs/Index Funds, and Alternatives/Hedged Funds), Investment Style (Active and Passive), Investor Type, (Institutional Investors and Retail Investors), and Geography

  • Report Code : TIPRE00039227
  • Category : Banking, Financial Services, and Insurance
  • No. of Pages : 150
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Sustainable Finance Management Market Key Findings by 2031

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The sustainable finance management market is expected to expand at a CAGR of 23.1% from 2023 to 2031. The surge in demand for sustainable finance and increasing awareness about environmental issues are expected to be key trends in the market.

Sustainable Finance Management Market Analysis

Sustainable finance is a developing area shaped by macro-environmental variables such as climate change. Sustainable finance will have a big impact on the financial services (FS) business, particularly in terms of how consumers, both corporate and retail, investors, and workers see their FS firm or bank. Sustainability is increasingly an important concern in employee recruitment and retention. Today, most retail and corporate investors want to make a difference. They're looking for investing options that incorporate ESG factors. This has raised the pressure on firms to reach their environmental goals. Funding is essential to support solutions to environmental issues. As a result, governments and politicians are eager to create a financial environment that promotes sustainable growth.

Sustainable Finance Management Market Industry Overview

Sustainable finance is the procedure of considering environmental, social, and governance (ESG) factors when making investment decisions in the financial sector, resulting in longer-term investments in sustainable economic activities and projects. As the movement toward sustainable development gains traction, the financial sector has emerged as a key driver of sustainability. Sustainable finance is attracting the attention of various stakeholders throughout the globe. The financial world has acknowledged the critical need to address environmental, social, and governance (ESG) challenges, making sustainable finance more than a trend but a need.

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Sustainable Finance Management Market: Strategic Insights

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Sustainable Finance Management Market Driver and Opportunities

Increasing Awareness About Climate Change Risks to Drive Market Growth

One of the driving drivers behind the expansion of sustainable finance is the desire to reduce climate risk. Climate change displays itself in a variety of ways, including extreme weather, water scarcity, melting icebergs, and so on. It makes it vital to create a low-carbon economy. This necessitates investment in wind farms, solar parks, electric car infrastructure, and other projects. Sustainable finance plays a significant role in this context. Further, developed countries have state-funded initiatives and innovative techniques to promote sustainable development. All these factors are expected to boost the growth of the sustainable finance management market during the forecast period.

Increasing Sustainable Investments to Create Lucrative Market Opportunities

Climate action and a structured focus on ESG are still relatively new sectors for the finance sector. Thus, investors attributed their increased interest in sustainable investing to new climate science findings, as well as the financial performance of sustainable assets. The majority of investors feel that firms should address environmental and social concerns. Further, impact investing is crucial for attaining environmental and social goals while balancing financial returns. In recent years, there has been an increase in awareness of environmental sustainability, which has boosted impact investment. All these factors are expected to create lucrative opportunities for the sustainable finance management market during the forecast period.

Sustainable Finance Management Market Report Segmentation Analysis

The key segments that contributed to the derivation of the sustainable finance management market analysis are asset class, offerings, investment style, and investment type.

  • Based on asset class, the market is divided into equities, fixed-income, multi-asset, and alternatives.
  • By offerings, the market is divided into equity funds, bond funds, ETFs/index funds, and alternatives/hedged funds.
  • Based on investment style, the market is divided into active and passive. Portfolio managers use active investment methods to choose and manage investments based on their experience and analysis. Thus, this segment is expected to grow during the forecast period.
  • On the basis of investor type, the market is divided into institutional investors and retail investors.

Sustainable Finance Management Market Share Analysis By Geography

Based on region, the market is segmented into North America, Europe, Asia Pacific, Middle East & Africa, and South & Central America.

Sustainable investing encompasses a extensive range of activities, from putting money into green energy projects to investing in businesses that exhibit social values like social inclusion or good governance. North America and Europe are identified as pioneers in such activities. Further, the Asia Pacific region is projected to grow at the fastest CAGR during the forecast period. This growth may be attributed to the swelling recognition among businesses and governments about the necessity of sustainable development and addressing social and environmental concerns.

Sustainable Finance Management Market Report Scope

Sustainable Finance Management Market News and Recent Developments

The sustainable finance management market is evaluated by gathering qualitative and quantitative data post primary and secondary research, which includes important corporate publications, association data, and databases. A few of the developments in the sustainable finance management market are listed below:

  • KPMG and Workiva Inc. announced an enhanced alliance to deliver environmental, social, and governance (ESG) focused solutions and services. This increased collaboration expands the KPMG's ability to assist organizations in effectively implementing ESG data, process, control, and reporting capabilities, ultimately enhancing trust, mitigating risk, and unlocking new value as companies build a sustainable future. (Source: KPMG, Press Release, February 2023)

Sustainable Finance Management Market Report Coverage & Deliverables

The sustainable finance management market forecast is estimated based on various secondary and primary research findings, such as key company publications, association data, and databases. The market report "Sustainable Finance Management Market Size and Forecast (2021–2031)" provides a detailed analysis of the market covering below areas-

  • Sustainable finance management market size and forecast at global, regional, and country levels for all the key market segments covered under the scope
  • Sustainable finance management market trends, as well as market dynamics such as drivers, restraints, and key opportunities
  • Detailed PEST/Porter’s Five Forces and SWOT analysis
  • Sustainable finance management market analysis covering key market trends, global and regional framework, major players, regulations, and recent market developments
  • Industry landscape and competition analysis covering market concentration, heat map analysis, prominent players, and recent developments in the sustainable finance management market
  • Detailed company profiles.
Report Coverage
Report Coverage

Revenue forecast, Company Analysis, Industry landscape, Growth factors, and Trends

Segment Covered
Segment Covered

This text is related
to segments covered.

Regional Scope
Regional Scope

North America, Europe, Asia Pacific, Middle East & Africa, South & Central America

Country Scope
Country Scope

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to country scope.

Frequently Asked Questions


What are the deliverable formats of the sustainable finance management market report?

The report can be delivered in PDF/PPT format; we can also share an Excel dataset based on the request.

What are the options available for the customization of this report?

Some of the customization options available based on the request are additional 3–5 company profiles and a country-specific analysis of 3–5 countries of your choice. Customizations are to be requested/discussed before making final order confirmation, as our team would review the same and check the feasibility.

Which are the leading players operating in the sustainable finance management market?

BlackRock, Inc., State Street Corporation, Morgan Stanley, UBS, JPMorgan Chase and Co., Franklin Templeton Investments, Amundi US, The Bank of New York Mellon Corporation, Deutsche Bank AG, Goldman Sachs, Refinitiv, Acuity Knowledge Partners, NOMURA HOLDINGS, BNP Paribas, HSBC Group, South Pole, Tred Earth Limited, Triodos Bank UK Ltd., Stripe, Inc., and Ecofy are the major market players.

What are the future trends of the sustainable finance management market?

The surge in demand for sustainable finance and increasing awareness about environmental issues are the major trends in the market.

What is the expected CAGR of the sustainable finance management market?

The global sustainable finance management market was estimated to grow at a CAGR of 23.1% during 2023 - 2031.

What are the driving factors impacting the sustainable finance management market?

Increasing awareness about climate change risks and increasing focus on environmental and social issues are the major factors that drive the global sustainable finance management market.

The Insight Partners performs research in 4 major stages: Data Collection & Secondary Research, Primary Research, Data Analysis and Data Triangulation & Final Review.

  1. Data Collection and Secondary Research:

As a market research and consulting firm operating from a decade, we have published many reports and advised several clients across the globe. First step for any study will start with an assessment of currently available data and insights from existing reports. Further, historical and current market information is collected from Investor Presentations, Annual Reports, SEC Filings, etc., and other information related to company’s performance and market positioning are gathered from Paid Databases (Factiva, Hoovers, and Reuters) and various other publications available in public domain.

Several associations trade associates, technical forums, institutes, societies and organizations are accessed to gain technical as well as market related insights through their publications such as research papers, blogs and press releases related to the studies are referred to get cues about the market. Further, white papers, journals, magazines, and other news articles published in the last 3 years are scrutinized and analyzed to understand the current market trends.

  1. Primary Research:

The primarily interview analysis comprise of data obtained from industry participants interview and answers to survey questions gathered by in-house primary team.

For primary research, interviews are conducted with industry experts/CEOs/Marketing Managers/Sales Managers/VPs/Subject Matter Experts from both demand and supply side to get a 360-degree view of the market. The primary team conducts several interviews based on the complexity of the markets to understand the various market trends and dynamics which makes research more credible and precise.

A typical research interview fulfils the following functions:

  • Provides first-hand information on the market size, market trends, growth trends, competitive landscape, and outlook
  • Validates and strengthens in-house secondary research findings
  • Develops the analysis team’s expertise and market understanding

Primary research involves email interactions and telephone interviews for each market, category, segment, and sub-segment across geographies. The participants who typically take part in such a process include, but are not limited to:

  • Industry participants: VPs, business development managers, market intelligence managers and national sales managers
  • Outside experts: Valuation experts, research analysts and key opinion leaders specializing in the electronics and semiconductor industry.

Below is the breakup of our primary respondents by company, designation, and region:

Research Methodology

Once we receive the confirmation from primary research sources or primary respondents, we finalize the base year market estimation and forecast the data as per the macroeconomic and microeconomic factors assessed during data collection.

  1. Data Analysis:

Once data is validated through both secondary as well as primary respondents, we finalize the market estimations by hypothesis formulation and factor analysis at regional and country level.

  • 3.1 Macro-Economic Factor Analysis:

We analyse macroeconomic indicators such the gross domestic product (GDP), increase in the demand for goods and services across industries, technological advancement, regional economic growth, governmental policies, the influence of COVID-19, PEST analysis, and other aspects. This analysis aids in setting benchmarks for various nations/regions and approximating market splits. Additionally, the general trend of the aforementioned components aid in determining the market's development possibilities.

  • 3.2 Country Level Data:

Various factors that are especially aligned to the country are taken into account to determine the market size for a certain area and country, including the presence of vendors, such as headquarters and offices, the country's GDP, demand patterns, and industry growth. To comprehend the market dynamics for the nation, a number of growth variables, inhibitors, application areas, and current market trends are researched. The aforementioned elements aid in determining the country's overall market's growth potential.

  • 3.3 Company Profile:

The “Table of Contents” is formulated by listing and analyzing more than 25 - 30 companies operating in the market ecosystem across geographies. However, we profile only 10 companies as a standard practice in our syndicate reports. These 10 companies comprise leading, emerging, and regional players. Nonetheless, our analysis is not restricted to the 10 listed companies, we also analyze other companies present in the market to develop a holistic view and understand the prevailing trends. The “Company Profiles” section in the report covers key facts, business description, products & services, financial information, SWOT analysis, and key developments. The financial information presented is extracted from the annual reports and official documents of the publicly listed companies. Upon collecting the information for the sections of respective companies, we verify them via various primary sources and then compile the data in respective company profiles. The company level information helps us in deriving the base number as well as in forecasting the market size.

  • 3.4 Developing Base Number:

Aggregation of sales statistics (2020-2022) and macro-economic factor, and other secondary and primary research insights are utilized to arrive at base number and related market shares for 2022. The data gaps are identified in this step and relevant market data is analyzed, collected from paid primary interviews or databases. On finalizing the base year market size, forecasts are developed on the basis of macro-economic, industry and market growth factors and company level analysis.

  1. Data Triangulation and Final Review:

The market findings and base year market size calculations are validated from supply as well as demand side. Demand side validations are based on macro-economic factor analysis and benchmarks for respective regions and countries. In case of supply side validations, revenues of major companies are estimated (in case not available) based on industry benchmark, approximate number of employees, product portfolio, and primary interviews revenues are gathered. Further revenue from target product/service segment is assessed to avoid overshooting of market statistics. In case of heavy deviations between supply and demand side values, all thes steps are repeated to achieve synchronization.

We follow an iterative model, wherein we share our research findings with Subject Matter Experts (SME’s) and Key Opinion Leaders (KOLs) until consensus view of the market is not formulated – this model negates any drastic deviation in the opinions of experts. Only validated and universally acceptable research findings are quoted in our reports.

We have important check points that we use to validate our research findings – which we call – data triangulation, where we validate the information, we generate from secondary sources with primary interviews and then we re-validate with our internal data bases and Subject matter experts. This comprehensive model enables us to deliver high quality, reliable data in shortest possible time.

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