![]() ![]() ![]() Solas Capital AG Moving Financial Markets (large organisations)Īs the shortlists emerged, some of last year’s winners weighed in with their thoughts on the awards’ impact, not just on their own organisations, but within the finance sector as a whole. The Crown Estate Moving Financial Markets (small and medium organisations) Schneider Electric SE Embedding an Integrated Approach Value Balancing Alliance Communicating Integrated Thinking The UN Sustainable Stock Exchange Initiative ‘Accountability in a Sustainable World Quarterly’, Centre for Accounting Research and Education at the University of Notre Dame In keeping with last year’s awards, each of the three Leadership categories will honour multiple contenders, selected from across the range of entrants.Īs the drum roll for the new Leadership awards gets under way, F4TF’s organisers have also unveiled the shortlists of finalists for the five main categories: Driving Change in the Finance Community This year, the Climate category will be joined by an award for leadership in biodiversity and nature, plus another for social impact, to recognise work that entrants are carrying out in increasingly challenging areas of sustainability. Last year, judges selected four organisations and one initiative – Moody’s, SSE, the Global Alliance for Banking on Values, Deutsche Post DHL and the Deshkan Ziibi Conservation Impact Bond – as climate leaders, for their strong environmental focus. The awards are a joint venture between ICAEW, Accounting for Sustainability and Deloitte. We focus on what we do best, and on capabilities and propositions that build on our heritage in managing long-term savings.Recognition for exemplary work on sustainability will be broadened in this year’s edition of the Finance for the Future (F4TF) Awards with the introduction of two new categories under the Leadership banner. Ideas and research are shared, generating returns from a diversified range of sources, ensuring an understanding of local markets as well as the individual investment requirements wherever clients are based. The investment processes are employed across borders so our approach is global. Our strategies focus on sustainable long-term returns. ![]() Our solutions reflect our clients’ risk tolerances, liquidity preferences and return ambitions. Our investment solutions help investors whether they are looking to match liabilities, receive a steady and predictable income, protect their investment from inflation or achieve capital growth. We aim to deliver the specific and meaningful outcomes that matter most to today’s investor. * As at 31 March 2020 Investment Principles & StrategyĪviva Investors is a global asset manager with a broad range of expertise across asset classes. By working in partnership with you, we bring components together in new ways to ensure you get the very best of our collective expertise with every investment.īringing it all together for today’s investor. We work hard to join the dots across asset classes to find the best investment ideas why we break down barriers, so our teams can connect seamlessly, and why we manage risk with discipline and rigor. Whether you’re a large institutional investor or saving for retirement, we work with you to deliver meaningful outcomes, now and over the long run. Through our vast collective industry experience, we’ve been through every market cycle, making us better prepared for the next one. Inspired by our deep client insight, we build solutions that aim to defy uncertainty, answering the questions that keep you awake at night. ![]() That’s why we start by listening closely to you and understanding your investment aspirations and concerns – from low prospective investment returns, to highly correlated asset prices, from the prospect of rising global interest rates to the challenges and opportunities of market volatility. That’s why we integrate our whole business around your needs – your goals, your values, the experience you have when you work with us. Only by working together can we find the answers. Our parent company is Aviva plc listed on the London Stock Exchange and a member of the FTSE 100 Index, it is the largest insurance company in the UK. With £334bn assets under management across fixed income, equites, real assets and multi-assets spanning 14 countries, employing 1,500 people*, you can benefit not just from our significant local knowledge and experience, but also from the extensive global investment resources at our disposal. Aviva Investors is a global asset manager who chooses the power of integration. ![]()
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