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RP Investment Advisors LP

PRI reporting framework 2020

You are in Strategy and Governance » Investment policy

Investment policy

SG 01. RI policy and coverage

New selection options have been added to this indicator. Please review your prefilled responses carefully.

01.1. Indicate if you have an investment policy that covers your responsible investment approach.

01.2. Indicate the components/types and coverage of your policy.

Select all that apply

Policy components/types

Coverage by AUM

01.3. Indicate if the investment policy covers any of the following

01.4. Describe your organisation’s investment principles and overall investment strategy, interpretation of fiduciary (or equivalent) duties,and how they consider ESG factors and real economy impact.

As a leading Canadian fixed income asset manager, RP Investment Advisors LP (“RPIA”) applies best-in-class investment practices whilst we strive to be a leader in the positive development of the investment management industry. Our objective is to add value for our clients through a relentless focus on long-term capital preservation and growth. We believe that ESG factors can materially impact the risk and return profile of the corporate fixed income securities we invest in and that understanding these issues enables us to better manage downside risk and presents new opportunities to create value for our investors.

01.5. Provide a brief description of the key elements, any variations or exceptions to your investment policy that covers your responsible investment approach. [Optional]

01.6. Additional information [Optional].

          
        

SG 01 CC. Climate risk (Private)


SG 02. Publicly available RI policy or guidance documents

 

02.1. Indicate which of your investment policy documents (if any) are publicly available. Provide a URL and an attachment of the document.

URL/Attachment

02.2. Indicate if any of your investment policy components are publicly available. Provide URL and an attachment of the document.

02.3. Additional information [Optional].


SG 03. Conflicts of interest

03.1. Indicate if your organisation has a policy on managing potential conflicts of interest in the investment process.

03.2. Describe your policy on managing potential conflicts of interest in the investment process.

At RP Investment Advisors LP (“RPIA”) we are committed to operating with the highest standards of integrity and distinction. We believe that by committing to always act in the best interests of our clients, we will establish and preserve our reputation as a trusted, best-in-class investment manager. Our Code of Conduct (the “Code”) sets out the standards to which all employees must abide on matters including Personal and Professional Conduct, Conflicts of Interest, Protection of Information and Assets, Material, Non-public Information, E- mail, internet and Computerized Information, Gifts, and Marketing and Promotional Activities. On an annual basis, employees must certify in writing that they have read, understand and agree to comply with the Code and all of the Firm's documented policies and procedures.

03.3. Additional information. [Optional]


SG 04. Identifying incidents occurring within portfolios (Private)


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