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VanEck

PRI reporting framework 2019

You are in Strategy and Governance » Investment policy

投資ポリシー

SG 01. RI policy and coverage

この指標には新しい設問が追加されています。事前に入力されている回答を精査してください。

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。

当てはまるものをすべて選択してください。
ポリシーの構成要素/種類
AUMの対象範囲

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。

As a fiduciary, VanEck (the “Firm”) is expected to act in the best interests of its clients. Irrespective of the account relationship, VanEck’s fiduciary obligation applies in every aspect of its dealings with its clients.

VanEck’s approach to responsible investment incorporates environmental, social, and governance (“ESG”) responsibilities into its active investment process. VanEck views ESG factors as fundamental and integral components of its active investment process and is committed to incorporating them, where possible, into its active investment analysis, decision making, and ownership policies.

VanEck believes that it is in the interest of its clients to consider these factors when making an investment decision. It also believes that a strong or genuinely improving ESG record should translate into a company’s differentiated financial performance and may have an impact on valuation. It further believes that companies exhibiting strong ESG practices will more likely be successful over the medium to long term.

VanEck believes, in addition, that an essential part of its responsibility to clients is not only to encourage change that can enhance, protect, and provide opportunities for long-term returns for shareholders, but also to seek to mitigate associated risks.

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]

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 Applicable)


SG 02. Publicly available RI policy or guidance documents

この指標には新しい設問が追加されています。事前に入力されている回答を精査してください。

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。

URL/添付ファイル

URL/添付ファイル

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]

The screening/exclusions policy refer to various ETFs managed by Think ETF Asset Management B.V., which is now owned by VanEck.


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。

As a fiduciary, VanEck (the “Firm") is expected to act in the best interests of its clients. Irrespective of the account relationship, VanEck’s fiduciary obligation applies in every aspect of its dealings with its clients. VanEck has adopted policies and procedures for the identification and management of conflicts of interest to: (i) identify actions, transactions, circumstances or relationships that are or could potentially be deemed or appear to be a conflict between the interests of the Firm or its employees and those of its clients; (ii) to assess the impact of such conflict on its clients; (iii) devise policies, procedures and controls reasonably designed to address a conflict in a manner that is fair and equitable and does not disadvantage a client relative to the Firm, employees or other clients; and (iv) makes disclosure of those conflicts in accordance with applicable law to its clients.

VanEck’s Code of Ethics addresses conflicts of interest. The Code of Ethics imposes restrictions on certain securities transactions to help avoid conflicts of interests. In addition, real or potential conflicts of interest must be disclosed to the Compliance Department, including those resulting from an employee’s business or personal relationships.

03.3. 補足情報 [任意]


SG 04. Identifying incidents occurring within portfolios (Not Completed)


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