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Bpifrance Investissement

PRI reporting framework 2017

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Implementation not in other modules

SG 12. ESG issues in strategic asset allocation

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

12.1. Indicate if your organisation executes scenario analysis and/or modelling in which the risk profile of future ESG trends at portfolio level is calculated.

12.2. Indicate if your organisation considers ESG issues in strategic asset allocation and/or allocation of assets between sectors or geographic markets.

12.3. Additional information. [OPTIONAL]


SG 13. Long term investment risks and opportunity

13.1. Some investment risks and opportunities arise as a result of long term trends. Indicate which of the following you act on.

13.2. Indicate which of the following activities you have undertaken to respond to climate change risk and opportunity

13.3. Indicate which of the following tools you use to manage emissions risks and opportunities

13.5. Additional information [Optional]


SG 14. Allocation of assets to environmental and social themed areas

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

14.1. Indicate if your organisation allocates assets to, or manages, funds based on specific environmental and social themed areas.

14.2. Specify which thematic area(s) you invest in, indicate the percentage of your AUM in the particular asset class and provide a brief description.

Area

1.3 % of AUM

Brief description and measures of investment

We manage directly a venture fund dedicated to environmental technologies ("Ecotechnologies" 150 M€), and we invest 157,2M€ in 9 funds, named "Demeter 1", Demeter 2", Demeter 3" (Total 77M€) "Emertec 4" et "Emertec 5" and "Emertec Energie Environnement" (Total : 50M€), Sofinnova Green Seed Fund (5M€), Electranova Capital (10M€) dedicated to cleantech and Capenergy 3, infrastructure fund dedicated to renewable energy projects in Europe .

60 % of AUM

Brief description and measures of investment

As noted before, our direct portfolio concerns about 800 companies. Among them, only 45 are listed. In our externally managed assets, there is just one fund investing exclusively in listed equity (10M€)

We can consider that these externally managed assets, except this particarly find, are dedicated to PE. 

So the part of AUM we indicate here includes PE + externally managed funds 

 

0.2 % of AUM

Brief description and measures of investment

We've invested 61.6 M€ in funds dedicated to impact investing (social integration, minorities entrepreneurship, , ...) : "Citizen Capital", "Business Angels des Cités" ("BAC Partners  2" , "Impact Partenaires III "Alter Equity" and Impact Coooperatif 

4 % of AUM

Brief description and measures of investment

We've invested in funds dedicated to health : Bioam, Innobio, (directly managed), Biodiscovery, Kurma Bio Fund I and II, Inserm Transer Initiative, Capital Santé, Matignon Technologies II, Technologie et santé (externally managed) 

Part of our Large Venture Fund dedicated to health.

14.3. Additional Information [Optional]

          
        

SG 15. ESG issues for internally managed assets not reported in framework (Not Applicable)


SG 16. ESG issues for externally managed assets not reported in framework (Not Applicable)


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