Responsible investing is a strategy and practice that seeks to incorporate environmental, social and governance (ESG) factors into investment decisions and asset management.
In addition, it complements traditional financial analysis and portfolio construction techniques.
Identification of long-term material risks.
Improving financial performance.
Development of innovative products and services in line with the company’s value strategy.
Increase in the operational efficiency of the company.
Updating the company in the face of global trends.