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Dansk Vaekstkapital II

PRI reporting framework 2019

You are in Strategy and Governance » Investment policy


SG 01. RI policy and coverage


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。


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。

Our legal foundation stipulates that ethical and environmental aspects must be considered when making our investment decisions. Our investment policies and strategies reflect this. As a part of our due diligence processes, we strive to identify possible ESG-issues and we instruct potential investee funds to give us their own account of their ESG profile both in regard to the negative impact as well as positive impact. 

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]

Our approach to ESG is based on internationally agreed principles for sustainable development, primarily UN Global Compact.

As a responsible investor, our approach to ESG-factors is focused on dialogue, information, and cooperation. We include ESG-questions in our due diligence and we require, that the funds we co-finance commit to handling ESG-issues based on UN principles. Even for well-prepared companies things can go wrong. If a negative impact-issue occur, we go into constructive dialogue with the fund and the company, to stop and avoid further negative impact. 

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


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。


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]

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。

At Dansk Vaekstkapital II we want to create growth and returns in an ethically and socially responsible manner. Therefore, we include environmental, social and governance considerations in our decision-making and in our daily procedures. We require the funds we invest in act responsibly - and ask them to commit themselves contractually to this - and we follow a number of established principles for responsible investment ourselves. Our point of reference for the responsible investment policy is the Principles for Responsible Investments (PRI) and the principles outlined in the UN Global Compact initiative. Furthermore, we follow the codes and guidelines established by the European Private Equity and Venture Capital Association (EVCA).

03.3. 補足情報 [任意]

SG 04. Identifying incidents occurring within portfolios (Private)