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Korkia Asset Management Oy

PRI reporting framework 2019

You are in Organisational Overview » Asset class implementation gateway indicators

Asset class implementation gateway indicators

OO 10. Active ownership practices for listed assets

10.1. Select the active ownership activities your organisation implemented in the reporting year.

Listed equity – engagement

10.2. Indicate why you do not engage and do not require external managers to engage.

Are a new signatory we are devepoling our engagement process.

Listed equity – voting

10.3. Indicate why you do not cast your votes

Describe the process and the actions taken.

Are a new signatory we are devepoling our engagement process.

As a mutli-manager, we would ideally want external managers to carry out active engagement but it is not a strict recommendation for external managers to meet. 

Fixed income SSA – engagement

Please explain why you do not engage directly and do not require external managers to engage with companies on ESG factors.

          Are a new signatory we are devepoling our engagement process.
        

OO 11. ESG incorporation practices for all assets

Select the externally managed assets classes in which you and/or your investment consultants address ESG incorporation in your external manager selection, appointment and/or monitoring processes.
Asset class
ESG incorporation addressed in your external manager selection, appointment and/or monitoring processes
Listed equity

Listed equity - ESG incorporation addressed in your external manager selection, appointment and/or monitoring processes

Fixed income - SSA

Fixed income - SSA - ESG incorporation addressed in your external manager selection, appointment and/or monitoring processes

Cash

Cash - ESG incorporation addressed in your external manager selection, appointment and/or monitoring processes

11.4. Provide a brief description of how your organisation includes responsible investment considerations in your investment manager selection, appointment and monitoring processes.

We are currently developing a formalized responsible investment framework. Part of our proposed process includes identifying and monitoring financial instruments (funds) in our investment approach. Given our current expertise and capabilities, we will be analyzing fund managers commitments on environmental factors associated with GHG emissions and carbon risk.

We are also developing a screening and monitoring process as a baseline to which we will use in the fund manager selection process. This will assist in identifying funds involved in controversial industries and create opportunities for engagement.


OO 12. Modules and sections required to complete

12.1. Below are all applicable modules or sections you may report on. Those which are mandatory to report (asset classes representing 10% or more of your AUM) are already ticked and read-only. Those which are voluntary to report on can be opted into by ticking the box.

Core modules

RI implementation via external managers

Indirect - Selection, Appointment and Monitoring of External Managers

Closing module

12.2. Additional information. [Optional]


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