Strategy
Investment Objective
The fund uses a global opportunity set to look across all countries, sectors, and industries, while actively excluding non-impact areas of the global economy, to find securities with clear impact and financial return potential. We leverage integrated fundamental research and ESG resources, including ESG bond evaluation models, to systematically and proactively evaluate the quality and long-term sustainability of investment candidates. Finally, our investment process isn’t limited to labelled debt. We look to a broad opportunity set, spanning across the corporate and credit universe to identify the highest impact-aligned issuers.
Investment Approach
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Past performance is not a reliable indicator of future performance.
Risks
Typical Investor
Investors who typically plan to invest for five years or more.
The fund may appeal to investors who: