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PRI reporting framework 2019

Export Public Responses

You are in Strategy and Governance » Investment policy


SG 01. RI policy and coverage


01.1. 責任投資アプローチをカバーする投資ポリシーを策定しているかどうかを明示してください。

01.2. ポリシーの構成要素/種類と対象範囲を示してください。


01.3. 投資ポリシーが以下のどの項目をカバーしているか明示して下さい:

01.4. 組織の投資原則および全体の投資戦略、受託者義務(または同等のもの)の解釈、ならびに、ESGファクターおよび実体経済の影響をどのように考慮に入れているかについて説明してください。

The bank’s mission is to bring sustainable products and solutions to its clients by incorporating Environmental, Social and Governance (“ESG”) aspects in investment activities.

This document describes policies that apply to the whole bank and guidelines that apply to Retail and Private Banking (including asset management departments) specifically and finally it lists the criteria for Responsible ESG investing and Sustainable investing (SRI).

01.5. 責任投資アプローチをカバーする組織の投資ポリシーの重要な構成要素、バリエーション、例外事項を簡潔に説明してください。[任意]

Sustainability Policies and Guidelines are applicable within ABN AMRO at different levels. The ABN AMRO Sustainability Risk Policy establishes the bank’s ‘Sustainability Risk Management Framework’ and defines the group's guiding principles for sustainability risk management. The Sustainability Risk Policy for Investment defines the policy for the bank’s investment activities in order to ensure that investments are managed in accordance to the bank’s sustainability risk principles. In addition we have sustainability guidelines for products and solutions on a business line level.

01.6. 補足情報 [任意]

下記を読み理解しました I confirm I have read and understood the Accountability tab for SG 01

SG 01 CC. Climate risk (Not Completed)

SG 02. Publicly available RI policy or guidance documents


02.1. 一般に入手できる組織の投資ポリシー文書を記載してください。その文書のURLを記入し、該当文書を添付してください。



02.2. 一般に入手できる組織の投資ポリシー文書を記載してください。その文書のURLを記入し、該当文書を添付してください。




02.3. 補足情報 [任意]

ABN AMRO is in the process of determining further disclosure of sustainability policies. 

SG 03. Conflicts of interest

03.1. 組織として、投資プロセスにおける潜在的な利益相反を管理するポリシーを策定しているかどうかについて明示して下さい。

03.2. 投資プロセスにおける潜在的な利益相反を管理するポリシーについて説明してください。

ABN AMRO has taken measures to identify, prevent and manage potential conflicts of interest and has a strict policy on conflicts of interest: ABN AMRO and its subsidiaries are subject to certain duties relating to conflicts of interest management in the relationship between the bank, its clients and employees and to requirements regarding market integrity and investor protection. Considering that the various activities that the bank undertakes simultaneously create a potential for conflicts of interest between those different activities and the interests of the bank's clients, the bank is required to identify and manage conflicts arising in relation to its various business lines and group activities. The objective is to ensure that such conflicts do not adversely affect client interests and that services to clients are not inappropriately influenced by outside interest in favour of the bank, an employee, another client or other party.

03.3. 補足情報 [任意]

SG 04. Identifying incidents occurring within portfolios (Private)