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| To support the goal of transitioning the real economy to net zero greenhouse gas emissions by 2050. | We do this primarily through engagement with investee companies and policymakers, collaborating with like‑minded investors where appropriate. | ||
| To promote a managed decline for the fossil fuel sector. | We’ve introduced a presumption against continued investment in laggard oil & gas companies. | ||
| To report annually in line with the recommendations of the TCFD. | We measure and report annually on the carbon‑equivalent emissions intensity of our equity and corporate bond portfolios, and aim to extend this to additional asset classes as more data becomes available. | ||
| To develop a climate action plan – to support the resilience of our investment strategy to climate change. | Identification and assessment of climate risks at an asset level We consider climate‑related risks and opportunities within our investment decision‑making processes:
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| Portfolio Alignment We focus our efforts on engagement and advocacy to drive real‑world decarbonisation:
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| Capital Allocation We measure and report on the percentage of our assets allocated to climate solutions:
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