Our core investment strategy is built on a solid and proven process. It aims to generate consistent, positive relative returns by investing in companies with strong fundamentals – including robust financial results, competitive strength, leading management teams who appreciate the potency of ESG risks, improving market sentiment and of course, an attractive valuation. These fundamental characteristics constitute a strong investment. But the tools and data used to identify companies which embody these attributes are subject to continual change and improvement. This evolution is illustrated well through our focus on ESG considerations.