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The University of Edinburgh

PRI reporting framework 2017

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Basic Information

OO 01. Signatory category and services

01.1. 組織または組織が提供するサービスに最もよく当てはまる種類を選択してください。。

01.2. 補足情報。 [任意]

The University of Edinburgh was granted its charter in 1582 and opened its doors to its first class of students in October 1583.  Our mission is to discover, develop and share knowledge. As a centre of academic excellence we aim to:

  • provide the highest-quality research-led teaching and learning;
  • challenge the boundaries of knowledge, research and disciplines;
  • enable our graduates and staff to be exceptional individuals equipped to address global challenges;
  • promote good health, economic growth, cultural understanding and social well-being.

This report is in relation to the University of Edinburgh 'Endowment and Investment Fund' which contains both endowment and treasury money (previously the Endowment Fund).  For benchmarking and comparison purposes we have classified this fund as 'Endowment' within the PRI reporting. 

For detailed information about the University visit and for information on its investments see:

OO 02. Headquarters and operational countries

02.1. 組織の拠点がある場所を選択してください。

United Kingdom

02.2. オフィスが所在している国数を記載してください(本部を含む)。

02.3. 組織が正規雇用しているスタッフのおおよその人数を記載してください。

9557 正規職員

02.4. 補足情報。 [任意]

Staff numbers refers to University staff (expressed as average full time equivalents during the year). 

OO 03. Subsidiaries that are separate PRI signatories

03.1. 組織内に単独でPRI署名者となっている子会社があるかどうかを記載してください。

03.3. 補足情報。 [任意]

OO 04. Reporting year and AUM

04.1. 報告年度の最終日を記載してください。


04.2. 報告しないことを選択した子会社を除き、報告年度末のAUM合計を記載してください。

Total AUM
10億 100万
Assets in USD
10億 100万

04.4. 補足情報。 [任意]

This includes the University of Edinburgh Endowment and Investment Fund of £435,656,000  as well as £34,627,000 in other fixed assets investments.  See page 79 of the Annual Report and Accounts.

OO 06. How would you like to disclose your asset class mix

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

06.1. どのように資産クラス構成を開示したいかについて記載してください。



上場株式 0 0 >50% 58.4
債券 0 0 0 0
プライベートエクイティ 0 0 0 0
不動産 <10% 4 10-50% 16.3
インフラ 0 0 0 0
コモディティ 0 0 0 0
ヘッジファンド 0 0 <10% 9.2
森林 0 0 0 0
農地 0 0 0 0
包括的な金融 0 0 0 0
現金 0 0 <10% 1.5
その他(1)(以下に具体的に記入してください) 0 0 <10% 9.9
その他(2)(以下に具体的に記入してください) 0 0 <10% 0.7


          Kames is categorised as high yield and fixed interest.


          Old College Capital (OCC) is classified as Venture Capital

06.2. 添付の画像に従って組織の資産クラス構成を公表する

06.3. AUM資産クラス分割について説明する情報を記載してください。 [任意]

Equities:  Includes holdings with Baillie Gifford, BlackRock and Northern Trust.

Property:  Includes internal Deconness investment and holdings with Hermes Property Unit Trust and Savills.

Hedge Funds: Includes Aviva holdings.

Cash: Includes Baillie Gifford and Edinburgh University.

Other:  High Yield: Includes Kames High Yield Global Bond Fund.  For year ending August 2015 Kames holding was classified under fixed income but this was further reviewed .Although we don’t get a fixed rate of interest the fund is invested in fixed interest bonds.

Other: Venture Capital: Includes Old College Capital (OCC) holdings.



OO 07. Fixed income AUM breakdown (Not Applicable)

OO 08. Segregated mandates or pooled funds (Private)

OO 09. Breakdown of AUM by market

09.1. 組織のAUMの内訳を市場別に示してください。




09.2. 補足情報。 [任意]