Boston Common Asset Management, LLC specializes in sustainable and responsible global equity strategies managing approximately $2.8 billion in assets, including sub-advised assets, as of December 31, 2019. Our unique investment research process enhances conventional investment analysis with our proprietary Environmental, Social and Governance (ESG) framework. Through rigorous analysis and integration of financial and ESG factors, we seek innovative, attractively valued companies for investment that we believe will outperform over the long term. Additionally, we seek to add value through our shareowner engagement work, urging portfolio companies to improve transparency and accountability, lower business risks, and promote long-term thinking by corporate managements. Boston Common manages U.S., International, and Global portfolios for institutions and individuals through separate accounts, commingled vehicles, and mutual funds. Since our inception in 2002, the firm has built a strong investment record and has meaningfully improved corporate practices here and abroad.