Sustainability resources for clients

Partnering with our clients to bring them industry leading resources and best practices.

A partner in sustainability

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Investment solutions

From integration to impact, focused on supporting clients’ long-term goals

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Tools and measurement

Measure portfolio sustainability risks, opportunities and impact

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Partnering with clients and research institutions on key sustainability themes and trends

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Knowledge sharing and training

Client training and education on a wide variety of topics

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Partnering with our clients on active ownership and engagement

Spectrum of approaches

schroders spectrum of approaches

Transparency and best practice

We recognize the need for consistent and reliable reporting and strive to bring transparency and accountability to what we do. Externally, we have been recognized for our efforts:

  • UN PRI rating A+ or equivalent since 2016
  • CDP leadership rating A
  • #1 in Forest 500’s 2022 report for addressing deforestation

Our sustainable investment policies, disclosures & voting reports

From here you will be able to access all our sustainability policies, disclosures and reports, organizations we support and the type of investments we exclude.

Recent industry shaping initiatives

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Engagement Blueprint
Climate Transition Action Plan
Stewardship Code

Thematic research

In-depth research on key trends focused on investment impact

Sample client reporting

Client reporting sample

Source: Schroders. Reports and dashboards shown above are snapshots for illustration only.

Key industry associations

Climate Action 100 logo

operating principles for impact management logo

science based targets logo

Finance for Biodiversity foundation logo


UN - PRI Logo

Human Capital Mangement Coalition


Net Zero Asset Managers Logo

Industry involvement

Our involvement with industry bodies and our public policy work allows us to drive the sustainability agenda at a market level.

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Please consider a fund's investment objectives, risks, charges and expenses carefully before investing.

The website and the content included is intended for US-based financial intermediaries (and their non-US affiliates) on behalf of those of their clients who are both (a) not “US persons” as that term is defined in Rule 902 under the United States Securities Act of 1933, as amended (the “1933 Act”) and (b) “non-United States persons” as that terms is defined in Rule 4.7(a)(vi) under the Commodity Exchange Act of 1936, as amended. None of the funds described herein is registered as an “investment company” as that term is defined in the United States Investment Company Act of 1940, as amended, and shares of the funds described herein have not been and will not be registered under the 1933 Act or the securities laws of any of the states of the United States. The shares may not be offered, sold or delivered directly or indirectly in the United States or for the account or benefit of any “US person.”

The information contained in this website does not constitute an offer to purchase or sell, advertise, recommend, distribute or solicit a subscription for interests in investment products in any Latin American jurisdiction where such would be unauthorized. The information contained in this website is not intended for distribution to the public in general and must not be reproduced or distributed, entirely or partially to any individuals who are not allowed to receive it according to applicable legislation. The investment products and their distribution may not be registered in Latin America, and therefore may not meet certain requirements and procedures usually observed in public offerings of securities registered in the region, with which investors in the Latin America capital markets may be familiar. For this reason, the access of the investors to certain information regarding the investment products may be restricted. Financial intermediaries and Advisors must ensure the information provided in this website is appropriate and suitable to the receiver’s domicile and jurisdiction and according to the applicable legislation.

For illustrative purposes only and does not constitute a recommendation to invest in the above-mentioned security/sector/country.

Issued by Schroder Investment Management (Europe) S.A., 5 (“SIM Europe”), rue Höhenhof, L-1736 Senningerberg, Luxembourg. Registered No. B 37.799

Schroder Investment Management North America Inc. (“SIMNA”) is an SEC registered investment adviser, CRD Number 105820, providing asset management products and services to clients in the US and registered as a Portfolio Manager with the securities regulatory authorities in Canada.  Schroder Fund Advisors LLC (“SFA”) is a wholly-owned subsidiary of SIMNA Inc. and is registered as a limited purpose broker-dealer with FINRA and as an Exempt Market Dealer with the securities regulatory authorities in Canada.  SFA markets certain investment vehicles for which other Schroders entities are investment advisers.

Schroders Capital is the private markets investment division of Schroders plc.  Schroders Capital Management (US) Inc. (“Schroders Capital US”) is registered as an investment adviser with the US Securities and Exchange Commission (SEC).  It provides asset management products and services to clients in the United States and Canada.  For more information, visit

SIM (Europe), SIMNA, SFA and Schroders Capital are wholly owned subsidiaries of Schroders plc.