We’ve incorporated BCV’s socially responsible investment (SRI) strategy into our investment management. BCV’s five key measures are to:
- Comply with the United Nations Principles for Responsible Investment
- Follow strict ESG-based AGM voting guidelines for our investment funds
- Align our list of excluded companies with that of the Swiss Association for Responsible Investments
- Use ESG benchmark indices in our investment management, without compromising on risks or returns
- Exclude companies with significant coal-related revenues, in order to support the energy transition