23.88% of our total assets under management are held by Multi Assets and Balanced Strategies. These have been reallocated to Listed Equity and Fixed Income for 30 and 70% respectively.
It seems to us that, going forward, having the possibility to report separately on Multi Assets / Balanced strategies should be considered. As of now, ESG criteria have to be considered beyond the fulfilment level as they can also potentially apply at both the strategic and tactical asset allocation levels.