This report shows public data only. Is this your organisation? If so, login here to view your full report.


PRI reporting framework 2020

Export Public Responses

You are in Direct - Fixed Income » Outputs and outcomes


FI 17. Financial/ESG performance

17.1. 債券におけるESG分析の組み入れが投資結果やESG実績に与えている影響を組織が測定するのかどうかを明示してください。


17.2. 債券におけるESG分析の組み入れが投資結果やESG実績に与えている影響を、組織がどのように測定するのか説明してください。 [任意]

Being a pure player in sustainable finance and particularly focused n green and social bonds for our fixed income strategies, one of the ways we measure our performance is through our lients. In 2019, our fixed income assets under management grew 33% to 2.5 billion euros. This represents a significant growth from when we started our fixed income strategy at Mirova with 800 million euros AuM in 2014, showing our clients' satisfaction with the ESG and financial performance of our funds. 

Another way to measure our performance is to compare our funds' financial performance with their benchmarks. For 2019, all our fixed income strategies outperformed their respective benchmarks. Our aggregate strategies outperformed the benchmarks by 3% while the corporate bond strategy and green bond strategy outperformed their benchmarks by 1.5%. 

In terms of ESG performance, the funds' monthly reports are available on Mirova's website These reports include ESG indicators (sustainability ratings, carbon emissions induced and avoided, portfolio temperature) that provide clients with an overview of the ESG quality of the fund. For the green bond funds, the monthly report also has a breakdown of the portfolio by impact and the project categories earmarked (renewable energy, energy efficiency...)

17.3. 補足情報 [任意]

FI 18. Examples - ESG incorporation or engagement (Private)