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Access Capital Partners

PRI reporting framework 2019

You are in Strategy and Governance » ESG issues in asset allocation

ESG issues in asset allocation

SG 13. ESG issues in strategic asset allocation

13.1. Indicate whether the organisation undertakes scenario analysis and/or modelling and provide a description of the scenario analysis (by asset class, sector, strategic asset allocation, etc.).

Describe The ESG framework developed for the fund of funds activity includes an annual assessment covering 30 KPIs at portfolio company level: Access undertake to analyze thoroughly how the GP deals with environmental issues, how they address social items and how aligned are the management teams with shareholders and investors.
Describe Climate change risk are monitored through two specific indicators related to the management of greenhouse gas emissions: environmental actions implemented and carbon footprint measure. It highlights the main ESG risks and opportunities, notably by considering climate change issues or changing weather patterns, water scarcity and use of natural resources.

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

We do the following

13.3. Additional information. [OPTIONAL]

SG 13 CC.

SG 14. Long term investment risks and opportunity (Private)

SG 14 CC.

SG 15. Allocation of assets to environmental and social themed areas (Private)