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Carnot Capital AG

PRI reporting framework 2020

You are in Strategy and Governance » ESG issues in asset allocation


SG 13. ESG issues in strategic asset allocation

13.1. 貴社組織がシナリオ分析および/またはモデリングを実施するか記述してください。実施する場合、 シナリオ分析について説明してください(資産クラス別、セクター別、戦略的資産配分等)。

25語以内で説明してください 。 The following four questions are answered using the questionnaires: 1. Are environmental (E) and social (S&G) risks reduced? 2. Is a financial return being generated? 3. Are environmental and social opportunities being pursued? 4. Does the company focus on measurable solutions with strong impact?
25語以内で説明してください 。 Regarding energy efficiency: is the investment in one of the target sectors of building technology, industry or transport? Does the investment have technology, or does it provide a service that reduces the consumption of natural resources or energy?

13.2. 組織が戦略的な資産配分やセクターまたは地理的な市場間での資産の配分においてESG問題を考慮しているかどうかを記載してください。


          All investments are ESG rated otherwise they would not be in the investable universe.

13.3. 補足情報 [任意]

SG 13 CC.

SG 14. Long term investment risks and opportunity (Private)

SG 14 CC.

SG 15. Allocation of assets to environmental and social themed areas (Private)