Mirova’s philosophy is based on the conviction that integrating sustainable development themes can generate solutions that create value for investors over the long term.
This philosophy revolves around three strategies:
• the link between finance and the real economy, by investing in companies with innovative business models,
• value creation by identifying sustainable assets capable of delivering performance over the long term,
• and lastly, responsibility and engagement by becoming actively involved in improving corporate, business sector and financial practices.
Mirova offers a global responsible investing approach with a single offer revolving around 5 pillars:
Listed equities: investing in global companies that provide innovative solutions through a global approach structured around 8 major sustainable development themes.(1)
Bonds: enhance conviction-based investment management in bond markets by integrating ESG criteria with our credit analysis and by supporting environmental and social issuance.
Infrastructures: financing responsible projects with strong yield potential, based on two key areas of expertise: renewable energies and infrastructures.
Impact investing: investing in non-listed companies with a strong social and environmental impact.
Voting and engagement: supporting investors in the exercise of their voting rights and the implementation of engagement actions.