Sustainability investing is integral to ESG Portfolio Management’s strategy. We are convinced that integrating environmental, social and governance (ESG) factors results in better-informed investment decisions which should result in higher risk adjusted returns. In addition we aim to increase the positive impact regarding the sustainable development goals (SDGs) and constantly work to reduce the CO2 emissions of our portfolio holdings further.
We make sure that our portfolios have high positive impact regarding all SDG which we consider as themes. We controll this at least twice a week using MSCI ESG