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Reporting & Transparency

Facts and figures on our sustainable investment activities, commitments, targets, and KPIs.

Sustainable Finance Disclosure Regulation (SFDR)

Our methods comply with the EU Sustainable Finance Disclosure Regulation (SFDR) regarding disclosure and integration of risk management. Currently, the SFDR is under review by the relevant EU authorities - the information provided will be updated once the revised SFDR is approved.

Principal Adverse Impact (PAI) Statement

SFDR Documentation

Progress

We have made public committments to acheiving specific targets in our portfolios for several aspects of sustainable invesment.

Awards & Memberships

As part of our work related to sustainable investment, we have received certain recognition and are engaged in several initiatives and collective pledges.

Our Approach: Philosophy & Guiding Principles

Screening & Exclusions

Proactively screening or exiting investments that are not aligned with our sustainable investment policies and goals.

Active Ownership

Engaging with the companies we invest in to reduce their negative impacts and increase the positive effects of their business models.

Solutions

Aligning our investment decisions with the SDGs by allocating more capital to sustainable solutions centred on themes such as renewable energy, smart cities, circular economy and equal opportunities.

Reporting & Transparency

Providing ongoing disclosure on our sustainable investment commitments, targets, KPIs and operational activities.

Historisk avkastning er ingen garanti for framtidig avkastning. Fremtidig avkastning vil som blant annet bero på markedsutviklingen, forvalternes dyktighet, fondets risikoprofil og forvaltningshonorar. Avkastningen kan bli negativ som følge av kursnedgang. Det er risiko forbundet med investering i fond på grunn av bevegelser i markedet, valutautvikling, rentenivå, samt konjunktur-, bransje- og selskapsforhold. Avkastningen kan øke eller minke som følge av valutakursendringer. Før du investerer, oppfordrer vi deg til å lese fondets prospekt og nøkkelinformasjon, som inneholder ytterligere detaljer om fondets egenskaper og kostnader.