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Marks & Spencer Pension Scheme

PRI reporting framework 2020

You are in Strategy and Governance » Asset class implementation not reported in other modules

他のモジュールで報告されていない資産クラスの実施

SG 16. ESG issues for internally managed assets not reported in framework (Not Applicable)


SG 17. ESG issues for externally managed assets not reported in framework

17.1. 組織外で運用される資産のうち、特定のPRI資産クラスモジュールがまだ開発されていない、または資産が最小基準値を下回るために報告する必要がない資産のESG問題への対処方法を説明してください。

資産クラス

実施しているプロセスおよび達成した成果または結果

債券 - 社債(非金融)

Engagements for monitoring typically involve a series of interactions with senior company personnel including at board level. Engagements for monitoring purposes always take the form of a two-way dialogue with the company and do not solely involve letter writing activity, though letters may be used to follow up calls or meetings or to confirm understanding of the facts. Engagements for monitoring are undertaken to gather information on companies' processes to ensure that they adhere to best practice. Perceived risks to shareholder value or reputational risks may then be taken forward with a view to influencing desired change.

債券 - 証券化商品

See above.

プライベートエクイティ

When a fund manager is interviewed to be considered for managing a mandate its approach to identifying, quantifying and managing ESG risks within the portfolio is discussed with the manager and the views of the investment consultant are also considered.

不動産

When a fund manager is interviewed to be considered for managing a mandate its approach to identifying, quantifying and managing ESG risks within the portfolio is discussed with the manager and the views of the investment consultant are also considered.

インフラ

When a fund manager is interviewed to be considered for managing a mandate its approach to identifying, quantifying and managing ESG risks within the portfolio is discussed with the manager and the views of the investment consultant are also considered.

ヘッジファンド・デューデリジェンス質問​

責任投資原則のヘッジファンド・デューデリジェンス質問に回答したかどうか示してください。

ヘッジファンド

When a fund manager is interviewed to be considered for managing a mandate its approach to identifying, quantifying and managing ESG risks within the portfolio is discussed with the manager and the views of the investment consultant are also considered.

その他 (1) [OO 05から抽出]

When a fund manager is interviewed to be considered for managing a mandate its approach to identifying, quantifying and managing ESG risks within the portfolio is discussed with the manager and the views of the investment consultant are also considered.

その他 (2) [OO 05から抽出]

When fund managers are interviewed to be considered for managing a mandate for Secure Income assets, its approach to identifying, quantifying and managing ESG risks within the portfolio, both on acquisition and over the life of those assets, is discussed with the manager and the views of the investment consultant are also considered. This is a key topic of discussion owing the the long date and illiqudity of the underlying assets, which are typically real assets with specific and idiosyncratic risk profiles.

17.2. 補足情報 [任意]


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