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Syntrus Achmea Real Estate & Finance B.V.

PRI reporting framework 2017

You are in Strategy and Governance » Investment policy

Investment policy

SG 01. RI policy and coverage (Not Completed)

SG 02. Publicly available RI policy or guidance documents

New selection options have been added to this indicator. Please review your prefilled responses carefully.

02.1. Indicate which of your investment policy documents (if any) are publicly available. Provide a URL and an attachment of the document.


02.4. Additional information [Optional].

SG 03. Conflicts of interest

03.1. Indicate if your organisation has a policy on managing potential conflicts of interest in the investment process.

03.2. Describe your policy on managing potential conflicts of interest in the investment process.

In our conflicts of interest policy we register and focus the improvement process on:

  1. Identifying conflicts of interests
    To control possible conflicts of interests we need to properly identify areas where conflicts of interests can arise.
  2. Measures concerning transparancy, control and monitoring
    When there is a potential conflict of interest identified we analyse the possible consequences of this conflict. Besides we take proper measures to control and monitor this conflict.
  3. Information and communication
    If we can´t avoid negative consequences (like missed opportunities) we communicate this with clients. This way they re-evaluate decisions concerning a certain transaction.
  4. Rules and procedures
    We developed policy rules, procedures and measures to avoid unwanted incentives for employees to enter an area where there could be conflicts of interests.
    Examples are: insider/ risktaker rules, a behavioural code on how to deal with sensitive information and signing an oath in which the employee promises to act carefully and with entegritiy his/ her role.


03.3. Additional information. [Optional]

SG 04. Identifying incidents occurring within portfolios (Private)