Aviva Climate Transition Global Equity Pn
SRI Style:
Environmental Style
SDR Labelling:
-
Product:
Pension
Fund Region:
Global
Fund Asset Type:
Equity
Launch Date:
21/08/2020
Last Amended:
Dialshifter (
):
Fund/Portfolio Size:
£3.80m
(as at: 28/02/2023)
ISIN:
GB00BKKZPJ80
Primary fund last amended:
Information directly from fund manager.
Sustainable, Responsible &/or ESG Policy:
Fund aim
The fund aims to grow your investment and provide an average annual net return greater than the MSCI All Country World Index (the “Index”) over a rolling 5 year period. The fund will do this by investing in shares of global companies responding to climate change by orientating their business models to be resilient in a warmer climate and a lower carbon economy; or by providing solutions to mitigate climate change or help communities adapt to adverse impacts of climate change. At least 90% of the fund will be invested in shares of global companies responding to climate change which meet the Investment Manager's eligibility criteria.
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)
Literature
Fund Name | SRI Style | SDR Labelling | Product | Region | Asset Type | Launch Date | Last Amended |
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Aviva Climate Transition Global Equity Pn |
Environmental Style | - | Pension | Global | Equity | 21/08/2020 | ||
Fund/Portfolio Size: £3.80m (as at: 28/02/2023) ISIN: GB00BKKZPJ80 |
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Sustainable, Responsible &/or ESG Overview |
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Information received directly from Fund Manager |
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Please select what you would like to read:
Sustainable, Responsible &/or ESG Policy:Fund aim The fund aims to grow your investment and provide an average annual net return greater than the MSCI All Country World Index (the “Index”) over a rolling 5 year period. The fund will do this by investing in shares of global companies responding to climate change by orientating their business models to be resilient in a warmer climate and a lower carbon economy; or by providing solutions to mitigate climate change or help communities adapt to adverse impacts of climate change. At least 90% of the fund will be invested in shares of global companies responding to climate change which meet the Investment Manager's eligibility criteria. The fund manager uses ESG investment criteria as part of the management of this fund. For more details visit Policies and documents - Aviva Investors
Literature |