Specific performance attribution analysis or the potential financial impact of any E, S, or G issue can vary with the industry sector, geography, investment style, and time horizon against which the factor is judged or applied. Each of our Portfolio Managers and investment teams develops their own investment approach or approaches, respectively, whereby ESG considerations are integrated into their research and decision-making processes to the extent that these issues may affect the long-term success of a company and investment returns. Our approach to measuring the impact of ESG factors on performance will depend upon how each portfolio manager considers ESG into his/her process, so we do not believe that a uniform approach will not yield meaningful attribution results. We continue to refine our approach to performance attribution.