The core activity of ESG Asset Management AG is the development and management of sustainable investment products in the Fixed Income sector, with a focus on social and environmental performance as well as market-oriented returns.
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Actively managed credit strategies for global fixed-income markets, with fundamental credit analysis, portfolio discipline and systematic sustainability integration.
High Yield Social Transformation
Actively managed global high-yield strategy focusing on credit selection, social transformation and disciplined downside risk management.
Climate Transition
Actively managed global corporate bond strategy focusing on climate risks, transition pathways, the financial viability of the transition and diversification across sectors and regions.
Multi Credit
Actively managed multi-credit strategy across global segments with flexible allocation, diversification, liquidity management and a controlled risk-return profile.
Sustainability integration in the investment process
Integration of sustainability factors into credit analysis, portfolio construction and monitoring, as well as active engagement with companies.