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Keys Asset Management

PRI reporting framework 2020

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。

Keys Asset Management is an asset management firm whose activities cover the entirety of the real estate investment cycle : development, management and asset restructuring. Our activities cover property management, asset restructuring and repositioning, and development financing.

We have a diversified portfolio across a range of asset classes: offices, shops, logistics and e-commerce, co-working, residential, hotels, and new uses. These are concentrated in Europe, and especially in France, in various dynamic economic hubs and regional metropolises.

The Group’s investment strategy is based on our vision of a real estate sector undergoing major changes. Today, energy transition and the digital revolution are bringing new ways of working and new models of collaborative consumption. In turn, these are driving major changes to the real estate sector: increasing obsolescence of housing stock; outdated office spaces; emergence of new real estate concepts and mixed urban projects; flexible user experiences. In this rapidly changing environment, Keys AM offers dynamic property management with a stable long-term return / risk ratio, based on our integrated expertise across the property value chain. Keys AM favours eco-responsible real estate and uses compliance with environmental standards as a lever for asset valuation, particularly in terms of energy performance.

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]

01.6. 補足情報 [任意]


SG 01 CC. Climate risk (Private)

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。

In accordance with the European Directive "MIF" (Marché d’Instruments Financiers), Keys REIM has formalised a policy for managing conflicts of interest and implemented specific organisational (means and procedures) and control measures to prevent, identify and manage situations of conflicts of interest that may affect the interests of its clients.

The purpose of this policy is to identify the main measures to achieve this objective of managing conflicts of interest. Nevertheless, if any conflicts of interest arise, they will be managed in the client's interest, i.e. in a fair manner and by providing complete and appropriate information.

Thus Keys REIM is authorized, depending on the conflict of interest situations, to :

-carry out the activity or operation to the extent that the organization appropriately manages the potential conflict of interest situation;
-inform the client in the event that certain conflicts of interest may remain and communicate the necessary information on their nature and origin;
-if applicable, not to carry out the activity or transaction giving rise to a conflict of interest.

03.3. 補足情報 [任意]

SG 04. Identifying incidents occurring within portfolios (Private)