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You are in Strategy and Governance » ESG issues in asset allocation
We are currently exploring the TCFD based framework. Under the framework we may conduct modelling on climate-related risks and opportunities.
We have an ESG Fund which uses sectoral exclusion and best in class methodology for ESG based performance of the companies
Exclusion based methodology: Sectors excluded are Alcohol, Tobacco, Adult Entertainment, Controversial Weapons and Gambling.
Best-in-class Methodology: After excluding sectors, portfolio is constructed using ESG scores along with financial variables