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For ESG performance, we do measure the ESG performance/profile of portfolios relative to the benchmark in terms of our internal ESG (SPICE) rating.
Credit collection company: we refused an investment opportunity to finance a swedish credit collection company because of the reputational risks involved with their practices to collect credits in Southern Europe.
Investment decision - did not invest.
French Retailer: divested our holdings because of lack of transparency on ESG, especially working conditions and supply chain sustainability.
We divested this holding.
In 2019, we initiated an engagement with an italian small sized banking institution and bond issuer. The company ahs no ESG reporting. We insisted that to be eligible for our funds the company had to increase its level of transparency in ESG. Consequently, the company announced the publication of its first ESG report in 2020.
We held the bond.