07FEB 2023
On the back of over 20 years of sustainable investing experience, we have developed a set of analytical tools, called impactIQ, which help us quantify the sustainability risks and impacts of assets we seek to invest in.
We also use this intelligence to help us design investment solutions to meet your clients' sustainability needs.
Measures and quantifies in dollar terms the positive or negative social impact that a company creates through the way it operates.
Measures how a company's products and services may positively or negatively contribute to the UN Sustainable Development Goals. This tool is currently in development.
Measures a company's exposure to the risks associated with the transition to a low carbon world. It captures the impacts of higher carbon prices on its cash flows and valuations.
Measures individual companies’ alignment to the climate goals set by the Paris Agreement. It provides the degree of temperature warming a portfolio is heading towards. This tool is currently in development.
Active ownership is a core part of sustainable investing. An ongoing dialogue with company leadership provides us with an extra dimension of understanding of a company's operations, and enables us to help them transition towards a more sustainable business model.
Find the latest sustainability videos, infographics and articles.
Schroders is a world-class asset manager operating from 38 locations across Europe, the Americas, Asia, the Middle East and Africa.
For any further questions, please contact us.
Contact formOur sales team is available to discuss with you any investment options and opportunities you might be interested in.
Contact us*Schroder International Selection Fund will be referred to as Schroder ISF throughout this website
Important Information
Collective investment schemes are generally medium to long-term investments.
The value of participatory interests or the investment may go down as well as up.
Past performance is not necessarily a guide to future performance.
Collective investment schemes are traded at ruling prices and can engage in borrowing and scrip lending.
A schedule of fees and charges and maximum commissions is available on request from the manager
The manager does not provide any guarantee either with respect to the capital or the return of a portfolio
The performance is calculated for the portfolio. The individual investor performance may differ as a result of initial fees, the actual investment date, the date of reinvestment and dividend withholding tax. All fund performance data are on a NAV to NAV basis, net income reinvested and net of ongoing charges and transaction costs. Data is not available for the time periods with no % growth stated. In case a share class is created after the fund's launch date, a simulated past performance is used, based upon the performance of an existing share class within the fund, taking into account the difference in the ongoing charges and the portfolio transaction costs, and including the impact of any performance fees if applicable.
Annualised return is the weighted average compound growth rate over the period measured.