Swiss Life Asset Managers published its latest “Responsible Investment Report”. The Report highlights how the key responsible investment initiatives of our current strategy cycle “Swiss Life 2024” have evolved and provides insights into the management of ESG factors for each of our main business areas.
Our efforts to integrate environmental, social and governance (ESG) factors into the investment practices have continued to advance in the past year. The report provides an in-depth look into how we manage ESG factors across real estate, infrastructure and securities. The report further sheds light on environmental aspects in our real estate risk management framework, provides examples for ESG investing in infrastructure and for securities and gives insights into our Sustainable Finance Disclosure Regulation (SFDR) rule book to illustrate our sustainability safeguard approach.
To Swiss Life Asset Managers, responsible investment is a strong foundation on which we base our business activities, and not least, an essential element of our fiduciary duty.