Bci Asset Management is committed to the incorporation of sustainability related risks and opportunities in their investment processes across all its assets classes. This has been confirmed in our adherence to the Principles for Responsible Investment (PRI) since 2020.
Bci Asset Management has adopted ESG integration and Stewardship approaches for an effective implementation of our Responsible investment strategy, which is reflected in our Sustainable Investment Policy. The purpose of this strategy is to maximize our clients’ long-term risk-adjusted returns, fulfilling our fiduciary duties, as environmental, social and governance factors may have a material financial impact on our investable universe.

This involves the gradual and systematic incorporation of environmental, social and governance factors into the investment processes. ESG information is utilized for the fundamental analysis of assets, which is critical for the security selection within the investment decision making process.
This approach is mostly applied to our internally managed investment strategies. It involves engaging with companies on material sustainability issues and exercising our voting rights at shareholder meetings, with the aim of generating long-term value in our investments.
You can find more detailed information in our Sustainable Investment Policy; related documentation of the Regulation (EU) 2019/2088, the Sustainable Finance Disclosure Regulation (SFDR); and other sustainability-related disclosure documents.