Responsible Investments Report 2024

Responsible Investment approach

15

Our Responsible Investment framework

At NAM, we believe it is our fiduciary duty to deliver returns with responsibility. Our commitment to be a responsible asset manager is not new. We launched our first sector-screened fund in 1988 and we were an early adopter of Responsible Investment (RI), signing the UN Principles for Responsible Investment (PRI) back in 2007. By the end of 2024, Responsible Investment Solutions comprise over 74% of NAM’s AUM.

NAM has developed policies and procedures to ensure that the companies we invest in meet our expectations related to ESG performance, and that ESG and sustainability risks are managed in all our investment processes. These include both corporate-level RI approaches ("overlays") and product-specific approaches. NAM’s RI Policy defines our position on sectors that are linked to material ESG issues, going beyond the international norms and conventions. This helps to ensure that the companies we are invested in meet our expectations of sound ESG perfor-

mance. The policy describes the stance we take on a number of areas within human rights, climate change, biodiversity and good governance. Depending on the nature and gravity of in- dividual cases, breaches can trigger engagement or exclusion. The RI Policy is publicly available on our website. Our corporate-level RI overlays include norms-based screening, active ownership activities and NAM-wide exclusions, as well as Sustainability Risk Integration. We also have product specific RI approaches that take a step further into enhancing ESG integration.

A comprehensive RI Framework including various forms of RI

NAM total AUM € 286.0 bn

Nordea Asset Management corporate level RI “overlays” applicable to all funds

All actively managed funds € 234 bn

Sustainability Risk Integration 18

Norms-based screening

Active Ownership

Corporate-level Exclusion List 17

ESG products Article 8 and 9 funds – according to SFDR classification

~ 74% of total AUM € 212 bn

Responsible Focus € 30.9 bn Sustainable Thematic € 8.7 bn Engagement Focus € 0.9 bn

Our Flagship ESG strategies 19

21 Responsible Focus

8 Sustainable Thematic Focus

2 Engagement Focus

17) Over 260 companies. NAM’s Exclusion List available here. 18) Integration of Sustainability Risks in the respective funds decision-mak- ing process. Every investment boutique has access to NAM's proprietary ESG Model and ESG analysis from the RI team and ESG data from external providers via our proprietary ESG data platform. 19) These only refer to Nordea 1 and Nordea 2 Funds.

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