Responsible investing

Responsible investing is core to our investment approach and purpose to create a better future through responsible investing.

This position enables us to use our influence to encourage:

  • companies to integrate ESG factors into their culture and everyday thinking
  • markets and regulators to create an environment in which good management of ESG factors is valued and supported

It also gives us an opportunity to raise market standards and best practice.

Our three areas of focus as an asset manager

Holding boards to account

To be successful, companies need to be led by people who are well-equipped to create resilient long-term growth. By voting and engaging directly with companies, we encourage management to control risks while seeking to benefit from emerging opportunities. We aim to safeguard and enhance our clients’ assets by engaging with companies and holding management to account for their decisions. Voting is an important tool in this process, and one which we use extensively.

Key risks

The value of an investment and any income taken from it is not guaranteed and can go down as well as up, you may not get back the amount you originally invested. Past performance is no guarantee of future results.