In line with its responsible investor philosophy, Mirova is committed ...
Invest responsibly in fixed-income products
THE MIROVA APPROACH
Combine responsibility with conviction-based management in bond and/or money markets by integrating ESG criteria.
• Enrich stock selection by integrating ESG(1) research into the investment process.
• Select issuers that offer both a financially attractive profile and good environmental, social/societal and governance practices
• Exceed best-in-class approaches with an “absolute ESG(1)” assessment: a security rating that is not relative to other companies within its sector but in absolute terms with regard to sustainable development issues
• Rely on the expertise of Natixis Asset Management’s Fixed-Income investment division
AREAS OF EXPERTISE
SRI Euro Credit
SRI Euro Aggregate
• 1.7 billion euros under management(2)
• 30 years of experience in fixed-income management(2)
(1) Environment, Social/Societal and Governance
(2) Source: Natixis Asset Management as of 12/31/2016.