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21 Invest

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 (Not Completed)


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.

21 Partners recognizes that conflicts of interest need to be identified and disclosed to all parties concerned and managed fairly and transparently. As such, the management companies have mapped all potential conflicts of interest, the potential parties involved, how these conflicts should be identified and how they should be resolved. All identified potential conflicts of interest are addressed in dedicated written company procedures. Clear rules are identified to solve any conflicts of interest which may arise. Adherence to these rules is monitored by a compliance officer. Moreover, external supervisory bodies verify that the aforementioned processes have been correctly implemented and are correctly followed.

03.3. Additional information. [Optional]

Please note that separate policies are adopted by the individual management companies in order to respect local market legislation. The description above therefore includes the main common aspects.


SG 04. Identifying incidents occurring within portfolios (Private)


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