Aviva Pension LGIM Future World Pn
SRI Style:
Sustainability Tilt
SDR Labelling:
-
Product:
Pension
Fund Region:
Global
Fund Asset Type:
Equity
Launch Date:
07/07/2020
Last Amended:
Dialshifter (
):
Fund/Portfolio Size:
£3.69m
(as at: 31/12/2025)
ISIN:
GB00BGGRZJ07
Primary fund last amended:
Information directly from fund manager.
Sustainable, Responsible &/or ESG Policy:
Fund Aim:
Aims to replicate the performance of the FTSE All-World ex CW Climate Balanced Factor index and ensure the fund has similar characteristics to the index whilst not necessarily holding all the constituents of the index. The index is designed to favour investment in companies which exhibit characteristics that
have historically led to higher returns or lower risk than the market as a whole, and companies which are less carbon-intensive or earn green revenues. The manager will have the discretion to reduce investment in certain companies which do not, in the manager's view, demonstrate adequate strategies and
governance standards to transition to a low carbon economy.
(Source: Fund Factsheet, November 2025)
Literature
| Fund Name | SRI Style | SDR Labelling | Product | Region | Asset Type | Launch Date | Last Amended |
|
|---|---|---|---|---|---|---|---|---|
Aviva Pension LGIM Future World Pn |
Sustainability Tilt | - | Pension | Global | Equity | 07/07/2020 | ||
|
Fund/Portfolio Size: £3.69m (as at: 31/12/2025) ISIN: GB00BGGRZJ07 |
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Information received directly from Fund Manager |
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Sustainable, Responsible &/or ESG Policy:Fund Aim: Aims to replicate the performance of the FTSE All-World ex CW Climate Balanced Factor index and ensure the fund has similar characteristics to the index whilst not necessarily holding all the constituents of the index. The index is designed to favour investment in companies which exhibit characteristics that (Source: Fund Factsheet, November 2025) Literature |
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