Responsible Investing

Responsible Investing

Responsible investing, also known as sustainable or socially responsible investing, is an investment approach that considers environmental, social, and governance (ESG) factors in addition to traditional financial metrics. As a wealth management company, we believe in the importance of responsible investing and offer sustainable investment options to our clients. 

Our approach

Our responsible investing approach involves analysing ESG factors when selecting investments, and we believe that companies that prioritise ESG considerations are better positioned for long-term success. We work with our clients to align their investment portfolios with their personal values and beliefs, as well as their financial goals. 

We offer a range of sustainable investment options, including ESG funds and impact investing strategies. Our ESG funds integrate environmental, social, and governance factors into their investment decisions, seeking out companies that have a positive impact on society and the environment. Impact investing strategies focus on investing in companies that make a measurable positive impact on the world while generating financial returns. 

In addition to offering sustainable investment options, we also engage with companies on ESG issues through proxy voting and active ownership. We believe that active ownership is an important tool to encourage positive change and to hold companies accountable for their ESG performance. 

As a responsible wealth management company, we are committed to ensuring that our clients’ investments align with their values while also generating strong financial returns. We believe that responsible investing is not only the right thing to do, but also an important way to help build a more sustainable and equitable future.