Socially Responsible Investing
We design a number of our portfolios specifically for those wish to invest with impact. Our solutions are designed to generate competitive risk-adjusted returns with a view toward integrating environmental, social, and governance (ESG) factors into each investment.
These portfolios provide investors with globally diversified multi-asset model portfolios constructed combining a strategic approach with ESG factors. Overlaid with disciplined risk management consistent with each strategy’s investment objective, and both strategic and tactical asset allocation, this suite should appeal to investors who seek a one-stop solution to gain exposure to a global asset allocation strategy with ESG as a primary consideration.
ESG investing offers the prospects of enhanced risk mitigation and higher returns for long-term shareholders, while simultaneously contributing to the betterment of society. To achieve these multiple objectives, our ESG analysis combines traditional financial factors with non-financial considerations (see table below):