Impact Investing
We believe we can generate both compelling investment returns and social and environmental impacts for our investors.
Impact investing is about investing in companies that aim to deliver measurable positive environmental and/or social outcomes alongside financial returns.
As global challenges intensify, more businesses are aligning with sustainability and societal needs, creating a growing opportunity set across equity and debt markets.
This allows investors to support companies driving meaningful change, while benefiting from long-term growth potential.
Cross asset collaboration, combined with proprietary screening models help identify high-impact investments.
In-depth impact analysis and engagement helps to ensure materiality, measurability, and additionality.
Risk-aware portfolio management that is focused on long-term results.
We take a structured, evidence-based approach to impact measurement, defining clear impact goals at the outset, tracking measurable outcomes through tailored key performance indicators, and aligning each investment to recognised frameworks such as the UN Sustainable Development Goals.
We actively engage with companies to strengthen positive outcomes and address risks, monitoring progress over time and feeding insights back into our investment decisions.
We report regularly on both portfolio-level outcomes and company-level progress to ensure transparency and accountability.
Each security aligns with specific impact pillars, embedding a clear theory of change for asset and investor contributions.
Our impact measurement approach is multidimensional and security-based, using insights from our research platform and company engagement.
Engaging with issuers to further the intended positive impact and/or mitigate material negative environmental or social impacts.
In an era of disruption and extreme outcomes, patience and skillful portfolio construction is important.
We offer a range of impact strategies across various asset classes. Impact investments are made with the intention of generating positive, measurable social and/or environmental impact alongside a financial return.
Our Impact Fixed Income strategies aim to contribute positive environmental and/or social impact, whilst achieving capital growth and income, over a full market cycle.
An impact-focused strategy with high-conviction global equity exposure and a dual mandate which aims to create positive social and/or environmental impact as well as seeking to provide financial return.
An impact-focused, high-conviction US equity strategy with a dual mandate which aims to create positive social and/or environmental impact as well as seeking to provide financial return.
T. Rowe Price and the International Finance Corporation* (part of the World Bank Group) are partnering to grow the blue bond market.
The partnership supports investment across sustainable oceans, freshwater, and water infrastructure, directing capital toward marine and freshwater conservation, clean water and sanitation, climate resilience, and sustainable economic development.
* T. Rowe Price and International Finance Corporation are not affiliated companies
We believe that governance and sustainability factors can influence investment risk and return, and therefore, we integrate them into our fundamental investment analysis.
For further information or to arrange a meeting to discuss ESG investments, please contact the Relationship Management Team.
5777212