organismes de placement collectif
De plus en plus d'OPC ont recours à notre recherche ESG pour sélectionner leurs titres. En voici quelques exemples:
![]() | AmpegaGerling Investment |
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![]() | Bankhaus Schelhammer & Schattera |
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Daiwa Asset Management | |
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![]() | Kepler-Fonds |
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Pioneer Investments | |
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Raiffeisen Kapitalanlage-Gesellschaft | |
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| SEB Invest |
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| Sparkasse Oberösterreich |
AmpegaGerling Investment
AmpegaGerling has issued two sustainability funds launched by the Central Mission of the Franciscans in Germany – the "terrAssisi Aktien I AMI" and the "terrAssisi Renten I AMI". Both funds combine sustainability criteria with the ethical principles of the Franciscan monks. The extensive analyses for both funds will be supplied by oekom research. Investments will be made in accordance with the best-in-class approach, supplemented by a range of exclusion criteria. The best securities issuers, in social and environmental terms respectively, will qualify for the portfolios. Excluded as a matter of principle will be, amongst others, armaments manufacturers and gambling companies as well as firms with a connection to child labour, pornography and embryo research. Countries in which the death penalty is used or which have nuclear weapons will also be off limits.
terrAssisi Aktien I AMI
Investment strategy
The “terrAssisi Aktien I AMI” equity fund, formerly the Gerling Select 21 fund, includes, in particular, companies which are devoted to the issue of climate change and/or utilize the world’s water resources responsibly.)
Key data
Type of fund: equity fund
Launch date: 10/20/2000
Asset-based fee: 4.5%
Management fee: 1.35% p.a.
ISIN: DE0009847343
Approval: Germany
terrAssisi Renten I AMI
Investment strategy
The “terrAssisi Renten I AMI” fund invests in bonds with a term to maturity of up to 24 months. It is principally suitable for investors for whom two aspects - socially responsible investing and security - are important; the more volatile corporate bonds are allowed to make up no more than 20 per cent of the portfolio.
Key data
Type of fund: fixed income fund
Launch date: 04/22/2009
Asset-based fee: up to 1.00%
Management fee: up to 0.600% p.a.
ISIN: DE000A0NGJV5
Further information:
AmpegaGerling Investment will gladly answer your questions:
AmpegaGerling Investment Kapitalanlage GmbH
Gereonshof 14 - 16
D-50670 Köln
Fon: 0221/144 3000
Fax: 0221/144 63401
Details regarding the Gerling Select 21 can also be found at: www.ampegagerling.de
Bankhaus Schelhammer & Schattera
Superior 3 - Ethik
Investment strategy
The fund invests mainly in bonds. International stocks maximum 20% of fund capital. On the one hand, the selection of securities is based on a conventional financial analysis. It is directed at credit rating and earnings capacity. On the other hand, the selection is based on exclusionary criteria and requirements to debtors and companies set by an advisory board. Suitable issuers are pre selected by oekom research.
Key data
Type of fund: balanced fund
Launch date: 11/18/1991
Asset-based fees: max. of 2.5%
Management fee: 0.6% p.a.
ISIN: AT0000904909
Approval: Austria, Germany
Superior 6 - Global Challenges
Investment strategy
The SUPERIOR 6 – Global Challenges ist the first themed fund in the SUPERIOR fund family. The fund management will invest exclusively in shares which are contained in the Global Challenges Index of the BÖAG Börsen AG.
Key data
Type of fund: equity fund
Launch date: 10/16/2008
Asset-based fee: 4%
Management fee: 1,2% p.a.
ISIN: AT0000A0AA60 (distribution fund)
ISIN: AT0000A0AA78 (growth fund)
Further information
The fund manager will gladly answer your questions:
Bankhaus Schelhammer & Schattera AG
Gerhard Tometschek
Goldschmiedgasse 3
1010 Wien
Austria
Fon: ++43-1-53434-18
Fax: ++43-1-53434-64
Details regarding the funds can also be found at: www.schelhammer.at
Daiwa Asset Management
Daiwa Six Assets Balance Fonds
Investment strategy
Daiwa Six Assets Balance Fund (double wing) comprises two funds; distribution-type and growth-type. Both types invest in three classes of assets i.e. equity, REIT and bond worldwide. The distribution-type is designed to pay stable and constant dividends to the beneficiaries by investing 20% of the assets in equity, 20% in REIT and 60% in bonds. The growth-type invests 50% in equity, 40% in REIT and 10% in bonds.
The equity portion of the fund invests in both Japanese and non-Japanese companies with excellent records in corporate social responsibility performance based on environmental, social and governance criteria. The information and data on CSR performance of Japanese companies is provided by the Japan Research Institute, while information of the companies outside Japan by oekom research. The fund is distributed by Sumitomo Mitsui Banking Corporation.
Key data
Type of fund: multi assets
Launch date: 03/14/2006
Asset-based fees: 1.275% (distribution type) / 1.35% (growth type)
Management fee: depends on the Net Asset Value of the Fund
ISIN: 04313063
Approval: Japan
Further information
Daiwa Asset Management Co. Ltd.
Investment Planning Department
SRI Coordinator Mrs Yuka Suzuki
2-10-5 Nihonbashi Kayabacho
2-10-5 Nihonbashi Kayabacho, Chuo-ku, Tokyo, 103-0025, Japan
Email: suzuki.yuk@daiwa-am.co.jp
Details on the fund can also be found at: www.daiwa-am.co.jp
Kepler-Fonds
Kepler Ethik Aktienfonds
Investment strategy
Focus on international, mostly European stocks under consideration of ethical exclusionary criteria such as: armaments, nuclear energy, GMOs, animal testing, tobacco, alcohol, gambling, chlororganic mass products, biocides, pornography, embryonic research, violation of human and labour rights as well as child labour. The sustainability analysis is conducted by oekom research.
Key data
Type of fund: equity fund
Launch date: 07/01/2002
Asset-based fee: 4%
Management fee: 1.5% p.a.
ISIN: AT0000675657 (distribution fund) / AT0000675665 (growth fund)
Approval: Austria, Germany
Kepler Ethik Rentenfonds
Investment strategy
Longterm capital growth under consideration of ethical criteria for governmental as well as company bonds. International euro-nominated or -hedged bonds with a rating on the investment-grade level. Ethical exclusionary criteria play an important role in the selection of the bonds. The sustainability analysis is conducted by oekom research.
Key data
Type of fund: fixed income fund
Launch date: 05/05/2003
Asset-based fees: 3%
Management fee: 0.6% p.a.
ISIN: AT0000815006 (distribution fund) / AT0000642632 (growth fund)
Approval: Austria, Germany
Kepler Öko Energien
Investment strategy
Kepler Öko Energien invests globally in innovative companies belonging to the “clean and sustainable energies” sector. The focus will be on wind power, solar energy, water/hydroelectricity, geothermal energy, fuel cells and bioenergy. However, the fund’s assets will also include securities in traditional utilities which are pushing forward strongly in the area of sustainability. The overall result will be a broad spread of highly diverse energy and utility titles. oekom research will provide the preselection of between 100 and 140 share titles for the Kepler Öko Energien” fund.
Key data
Type of fund: equity fund
Launch date: 23.09.2008
Asset-based fee: 4,5%
Management fee: 1,65% p.a.
ISIN: AT0000A0AMH0 (distribution fund), AT0000A0AMJ6 (growth fund)
Further information
The fund management will gladly answer your questions:
Kepler-Fonds KAG
Raiffeisenplatz 1
4021 Linz
Austria
Fon: ++43-732-6596-5314
Fax: ++43-732-6596-5319
Details on the funds can also be found at: www.kepler.at
Pioneer Investments Kapitalanlagegesellschaft
Pioneer Funds - Global Ecology
Investment strategy
Pioneer Funds - Global Ecology invests worldwide in equities in the fields of ecology and environmental technology. The main targets of investment are stocks in companies which are developing environmentally-friendly products and technologies and thus contributing toward creating a clean and healthy environment or toward repairing existing damage. As a rule, these tend to be small and medium-sized enterprises. To these, the fund manager adds shares in large companies operating in the sustainability field, thereby spreading the investment risk. The selection of shares is subject to continuous stringent monitoring by the independent rating agency oekom research. The fund is not permitted to invest in firms which violate human rights or employment rights or which use child labour, nor in companies involved in armaments, tobacco, alcohol, gambling or pornography. In order to reduce the investment risk, the fund’s management does not rely on isolated securities, but invests across the whole spectrum of ecological and environmental technology and in all countries and regions which are relevant in this context. The potential investment performance of the fund is nonetheless subject to general market risks and to the particular risks of investing in shares issued by companies in specific sectors.
Key data
Type of fund: worldwide investing equity fund
Launch date: 04/30/1990
Asset-based fees: 5%
Management fee: 1,50% p.a.
WKN: AoMJ48; ISIN: LU0271656133
Approval: Austria, Germany, Luxembourg, Switzerland
Details regarding the Pioneer Funds - Global Ecology can also be found at: www.pioneerinvestments.com
Further information
Pioneer Investments Kapitalanlagesellschaft mbH
Press / Public Relations
Marc Bubeck
Apianstr. 16 - 20
85774 München-Unterföhring
Tel: ++49/89/99226-2383
E-mail: presse@pioneerinvestments.de
Raiffeisen Kapitalanlage-Gesellschaft
Raiffeisen Ethik Aktien
Investment strategy
The fund invests in global equities selected according to social, environmental, and ethical criteria. Preference is given to companies that are fundamentally attractively evaluated. The sector and country allocation guarantees ample worldwide diversification. The fund is suited to investors wishing to profit from the chances of higher return offered by equity investments, in awareness of the correspondingly higher fluctuations of value. Recommended investment horizon: 10 years.
Key data
Type of fund: equity fund
Launch date: 05/13/2002
Asset-based fees: 5%
Management fee: 1.75% p.a.
ISIN: AT0000677901 (distribution fund) / AT0000677919 (growth fund)
Approval: Austria, Germany
Further information
The fund management will gladly answer your questions:
Raiffeisen Kapitalanlage-Gesellschaft m.b.H.
Friedrich Schiller
Am Stadtpark 9
1030 Wien
Austria
Fon: ++ 43-1-71707-2727
Fax: ++ 43-1-71707-76-2727
Details regarding the Raiffeisen Ethik Aktien can also be found at: www.raiffeisen.at
SEB Asset Management
SEB ÖkoLux
Investment strategy
International equity fund with an ethical and environmental orientation. The fund managers invest in companies that have shown an above-average performance in the environmental and social area according to the best in class approach. The ethical, environmental, and social quality of the securities is verified via the Corporate Responsibility Rating of oekom research AG. A further important component is the use of exclusionary criteria. Companies that violate these criteria are excluded from the investment process.
Key data
Type of fund: equity fund
Launch date: 02/19/1992
Asset-based fees: 4.5%
Management fee: 1.5% p.a.
ISIN: LU0036592839
Approval: Germany, Luxembourg
SEB ÖkoRent
Investment strategy
The aim of the fund is to take advantage of the price potentials at the bond markets while taking into account ethical and environmental criteria. To this end, the fund invests in company and governmental bonds, as well as in bonds of supranational organisations and specialised credit institutes that do business in a sustainable way. The ethical, environmental, and social quality of the securities is verified via the Corporate Responsibility Rating and the Country Rating of oekom research AG. A further important component is the use of exclusionary criteria. Companies and countries that violate these criteria are excluded from the investment process.
Key data
Type of fund: fixed income fund
Launch date: 02/19/1992
Asset-based fees: 3%
Management fee: 0.7% p.a.
ISIN: LU0041441808
Approval: Austria, Germany, Luxembourg
Further information
SEB Asset Management
Rotfeder-Ring 7
60327 Frankfurt am Main
Fon: +49 (0)69 27299-1000
Details regarding SEB ÖkoLux and ÖkoRent can also be found at: www.sebassetmanagement.de/en/welcome-page
Sparkasse Oberösterreich
s Ethik Aktien
Investment strategy
The fund invests in international blue chip shares. The fund management selects the respective securities for long-term investments. The MSCI-World index serves as the fund’s benchmark. The sEthikAktien invests worldwide in companies whose products and services create economic, environmental and social value. The sustainability analysis is conducted by oekom research.
Key data
Type of fund: equity fund
Launch date: 05/02/2002
Asset-based fees: 5%
Management fee:
ISIN: AT0000681176 (distribution fund) / AT0000681168 (growth fund)
Approval: Austria
s Ethik Bond
Investment strategy
The fund invests in the most important bond markets and currencies worldwide. The fund management selects governmental bonds with a credit rating of at least "AA” and corporate bonds with a credit rating of at least "BBB”. The sustainability analysis is conducted by oekom research.
Key data
Type of fund: fixed income fund
Launch date: 05/02/2002
Asset-based fees: 4%
Management fee:
ISIN: AT0000681192 (distribution fund) / AT0000681184 (growth fund)
Approval: Austria, Germany, Luxembourg
Further information
The fund management will gladly answer your questions:
Sparkasse Oberösterreich
Kapitalanlagegesellschaft
Promenade 11-13
4020 Linz
Austria
Fon: ++43-50-100-40559
Fax: ++43-50-100-40832
Details regarding s EthikAktien and s EthikBonds can also be found at: www.kag.at




gestionnaires de fonds






