Investment range
Seeking to deliver long-term positive outcomes since our foundation in responsible investing in 1983.

Products, prices and performance
For the latest performance and vital information – including factsheets, prices, key facts, identifiers and ratings.
Actions
Caractérisées par une recherche fondamentale, environnementale, sociale et de gouvernance (ESG) et d’engagement propriétaire.
Crédit
Approche de recherche de valeur basée sur une analyse fondamentale, une perspective macroéconomique et une sélection rigoureuse des titres pour des portefeuilles diversifiés et gérés en fonction du risque.
Liquidité
Marchés privés
Offre aux investisseurs adéquats une large gamme de solutions d’investissement sur les marchés privés dans quatre catégories d’actifs : immobilier, infrastructure, Private Equity et dette privée.
What do we mean by enduring, responsible wealth creation?
Since our foundation in responsible investing in 1983, we have been committed to doing business the right way.
First and foremost, this means being guided by our duty to our clients and to being aligned with their interests.
With this as our foundation, we seek to be effective investors with a focus on the characteristics this entails, such as high active share, global capabilities and a long-term approach.
The final piece of the puzzle is our commitment to stewardship where we combine our world-class engagement capability with an emphasis on material environmental, social and governance considerations.
Together, these characteristics create a unique approach which seeks to deliver positive outcomes for all our stakeholders over the long term.

This approach provides three investment pathways focused on specific characteristics. Equally powerful in fulfilling our purpose, they are defined by the outcomes our investors seek.

Financier
Un investissement responsable et actif pour une performance à long terme.
- Objectif financier
- Intégration des meilleures pratiques d’analyse ESG et des perceptions acquises par les activités d’engagement
- Certaines capacités sont assorties d’exclusions qui reflètent le point de vue des Portfolio Managers
- Obtention de résultats grâce à l’exercice d’un engagement efficace

Finance & développement durable
Approche thématique et fondée sur les valeurs pour des résultats durables.
- Objectifs financiers et de durabilité
- Intégration des meilleures pratiques d’analyse ESG et des perceptions acquises par les activités d’engagement
- Exposition aux thèmes de durabilité et aux leaders ESG qui reflètent des valeurs de durabilité
- Obtention de résultats durables grâce à l’exercice d’un engagement efficace

Financier et impact
Stratégies d’investissement ayant pour but de créer un impact positif.
- Objectifs financiers et d’impact
- Intégration des meilleures pratiques d’analyse ESG et des perceptions acquises par les activités d’engagement
- Accent sur les sociétés générant un impact ou opérant une transformation positive
- Certaines capacités peuvent être assorties d’exclusions correspondant à des valeurs de durabilité définies, des critères d’impact, ou les deux
- Obtention de résultats durables grâce à l’exercice d’un engagement efficace
Solutions across the spectrum
As well as funds, we offer best-in-class, bespoke solutions and have an exciting range of global capabilities to meet our clients’ desired outcomes, including liquidity, private markets and strategies aligned to responsible investing targets.
To find out more, please contact your sales representative.
Classifying our funds under SFDR
Set up by the EU and effective from 10 March 2021, the Sustainable Finance Disclosure Regulation (SFDR) looks to improve transparency among financial market participants in relation to sustainability-related information. SFDR requires asset managers to provide standardised disclosures on how environmental and social factors are integrated at both the entity and product level.
We support greater transparency and a clearer framework around how environmental and social factors are considered in financial markets.
Under SFDR, funds are classified in three categories:
Article 6
- Financial products not covered by Article 8 or 9
- Product characteristics: Sustainability risks and opportunities are not a driving force for investment decision-making.
Article 8
- Financial products promoting environmental or social characteristics
- Product characteristics: Strong, demonstrable consideration of environmental and/or social factors in the investment process and investment in companies with good governance.
Article 9
- Financial products with sustainable investment as their objective
- Product characteristics: Contribution to environmental and social objectives, which can be measured and reported on and avoidance of companies which may cause significant harm to those objectives.