The stranded/misaligned year ranges can be identified as relevant to the strategy. For example, CRREM energy and GHG pathways; before 2030, between 2030 and 2035 etc. In the comment box, indicate stranded/misaligned year range, the framework used and whether it is based on energy or carbon intensity.
ESG SDDS Wiring-Guide
Proportion of assets in the third stranding/misalignment year range (% of AUM)
Topic: Climate Change - Transition Risks |
Field Level: Vehicle |
Label: cc_transition_risk_assets_third_stranding_year_range_percentage_aum |
Indicator ID: ESSG4.4.3.2
Industry Mapping:
Definition:
Additional Guidance:
| Data Type | Double |
| Values | 0.00 - 100.00 % |
| Example | 40.00 % |
| Reference Field | Asset data - Based on RAL4.1 (Stranded/Misaligned Year based on energy intensity according to the chosen CRREM pathway), RAL4.2 (Stranded/Misaligned Year based on carbon intensity according to the chosen CRREM pathway ) and AL1.18 Market value at the end of the period) |
| INREV Guideline ID | ENV49 |
| INREV Index reference | - |
| External reference | - |
| GDD reference | - |