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BBVA Fondo de Empleo

PRI reporting framework 2019

You are in Indirect – Manager Selection, Appointment and Monitoring » Listed Equity and Fixed Income Strategies

Listed Equity and Fixed Income Strategies

SAM 01. ESG incorporation strategies

01.1. Indicate which of the following ESG incorporation strategies you require your external manager(s) to implement on your behalf for all your listed equity and/or fixed income assets:

Active investment strategies

Active investment strategies

Listed Equity
FI - SSA
FI - Corporate (financial)
FI - Corporate (non-financial)

Screening

Thematic
Integration
None of the above

Passive investment strategies

Passive investment strategies
Listed Equity
FI - SSA
FI - Corporate (financial)
FI -  Corporate (non-financial)

Screening

Thematic
Integration
None of the above

01.2. Additional information. [Optional]

Screening in accordance with the exclusion policy established by BBVA Group.

Our asset manager includes on his monthly report of investments the ESG rating of european listed equity companies. The Control Commitee requested clarification to the asset manager when doubt arises regarding any investment.

Our asset manager publishes annually the management report of the Pension Fund together with the audit report of annual accounts. In addition, we have applied the monitoring processes through the annual report by Sustainalytics, that includes the environmental, social and governance (ESG) analysis of our Pension Fund.


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