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PRI reporting framework 2018

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You are in Direct - Listed Equity Incorporation » ESG incorporation in actively managed listed equities » Implementation processes » (C) Implementation: Integration of ESG issues

(C) Implementation: Integration of ESG issues

LEI 08. Review ESG issues while researching companies/sectors

08.1. Indicate which ESG factors you systematically research as part of your investment analysis and the proportion of actively managed listed equity portfolios that is impacted by this analysis.

ESG issues

Proportion impacted by analysis
Environmental

Environmental

Social

Social

Corporate Governance

Corporate Governance

08.2. Additional information. [Optional]

The ESG scoring tool is based partly on msci ratings and analysis, completed by in-house indicators
and assessments, notably on governance. Portfolio managers have the ability to correct the external
analysis based on their own research and diologue with the company.


LEI 09. Processes to ensure integration is based on robust analysis

09.1. Indicate which processes your organisation uses to ensure ESG integration is based on a robust analysis.

09.2. Indicate the proportion of your actively managed listed equity portfolio that is subject to comprehensive ESG research as part your integration strategy.

09.3. Indicate how frequently third party ESG ratings that inform your ESG integration strategy are updated.

09.5. Describe how ESG information is held and used by your portfolio managers.

09.6. Additional information.[Optional]


LEI 10. Aspects of analysis ESG information is integrated into

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

10.1. Indicate which aspects of investment analysis you integrate material ESG information into.

Proportion of actively managed listed equity exposed to investment analysis

Proportion of actively managed listed equity exposed to investment analysis

Proportion of actively managed listed equity exposed to investment analysis

Proportion of actively managed listed equity exposed to investment analysis

Proportion of actively managed listed equity exposed to investment analysis

10.2a. Indicate which methods are part of your process to integrate ESG information into fair value/fundamental analysis and/or portfolio construction.

10.3. Describe how you integrate ESG information into portfolio weighting.

On the basis of the ESG rating score, portfolio managers quantify ESG related risk on the equity
and modifiy accordingly the total risk measure used for this equity. This in turn affects the target
price and min and max weights of said equity.

10.4a. Describe the methods you have used to adjust the income forecast / valuation tool

On the basis of the ESG rating score, portfolio managers quantify ESG related risk on the equity
and modifiy accordingly the total risk measure used for this equity. This in turn affects the target
price and min and max weights of said equity.

Proportion of actively managed listed equity exposed to investment analysis

10.2b. Indicate which methods are part of your process to integrate ESG information into fair value/fundamental analysis and/or portfolio construction.

10.4b. Describe the methods you have used to adjust the income forecast / valuation tool

On the basis of the ESG rating score, portfolio managers quantify ESG related risk on the equity
and modifiy accordingly the total risk measure used for this equity. This in turn affects the target
price and min and max weights of said equity.

10.5. Additional information.


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