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Core to our mission to give investors the best chance for investment success is our duty to maximise long-term investment returns for our funds' investors. And we believe that material ESG (environmental, social, and governance) risks can affect this long-term value creation in the companies in which our funds invest.

As a result, ESG considerations are integrated into our product and investment processes primarily through allocating capital to portfolio companies in our active funds, developing products that allow investors to avoid or mitigate exposure to certain ESG risks, and engaging with the portfolio companies in our index funds.

See our Responsible Investment Policy for more information.