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Gresham House plc

PRI reporting framework 2020

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

資産配分におけるESG問題

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 。 We undertake either qualitative or quantitative scenario analysis where we believe it to be material across our investments. For example, this could include resource or energy demand/scarcity, regulatory change or even consumer preferences which might drive choice or desirability.
25語以内で説明してください 。 We undertake either qualitative or quantitative scenario analysis where we believe it to be material across our investments. For example, this could include resource or energy demand/scarcity, regulatory change or even consumer preferences which might drive choice or desirability.

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。

以下を行っている

13.3. 補足情報 [任意]

We have a strategic asset allocation which aims to avoid material and unmitigable/unmanageable ESG exposures. This includes avoiding investment in fossil fuels, but also proactively investing in niche sectors which help provide some of the solutions to climate change mitigation, e.g. renewable energy, alternative food production methods, and waste disposal routes which produce alternatives to fossil fuel combustion. 


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)


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