Fund Name SRI Style Product Region Asset Type Launch Date
Aviva Conscience NMP pn Ethical Pension UK Equity 01/09/87

Objectives

Fund Size: £9.83m

As at: 28/02/23

ISIN: GB0006195696

Sustainable, Responsible &/or ESG Overview

Primary fund last amended: 23/03/23 11:50

Information received directly from Fund Manager

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  • Sustainable, Responsible &/or ESG Policy:

    Fund aim

    The objective of the fund is to generate capital growth and increasing income. The manager seeks to achieve this by investing mainly in an ethically screened and diversified spread of UK equities. The ethical screening applied to the fund means that a number of the UK's largest companies are screened out on ethical grounds. As a result, the fund will usually include significant exposure to medium and smaller companies. The manager may also invest in other investments such as derivatives. Investment is concentrated in companies whose products and operations are considered to be of long-term benefit to the community both at home and abroad.

    The fund manager uses ESG investment criteria as part of the management of this fund. For more details visit Policies and documents - Aviva Investors

     

    (Source: Aviva website, March 2023)

     

  • Process

  • Resources, Affiliations & Corporate Strategies

  • Fund Holdings

    Voting Record

Fund Name DS SRI Style Product Region Asset Type Launch Date
Aviva Conscience NMP pn Ethical Pension UK Equity

Fund Size: £9.83

Total screened & themed / SRI assets: £

Total Responsible Ownership assets: £

Total assets under management: £

As at: 28/02/23

Sustainable, Responsible &/or ESG Policy:

Fund aim

The objective of the fund is to generate capital growth and increasing income. The manager seeks to achieve this by investing mainly in an ethically screened and diversified spread of UK equities. The ethical screening applied to the fund means that a number of the UK's largest companies are screened out on ethical grounds. As a result, the fund will usually include significant exposure to medium and smaller companies. The manager may also invest in other investments such as derivatives. Investment is concentrated in companies whose products and operations are considered to be of long-term benefit to the community both at home and abroad.

The fund manager uses ESG investment criteria as part of the management of this fund. For more details visit Policies and documents - Aviva Investors

 

(Source: Aviva website, March 2023)

 

Sustainable, Responsible &/or ESG Process:

Resources, Affiliations & Corporate Strategies

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