Describe how you integrate ESG information into portfolio weighting.
For one of the fund, optimization of carbon footprint under tracking error minimization constraint
Describe the methods you have used to adjust the income forecast / valuation tool
Adjustment of risk premia
Describe how you apply sensitivity and/or scenario analysis to security valuations.
We are using the TPI (Transition Pathway Initiative) scenario analysis to assess some of the security under review.
Additional information. [OPTIONAL]