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Responsible investing is a key element in achieving our objective of protecting our investors’ capital and delivering attractive, long-term inflation-protected returns.

We believe supporting responsible investment not only leads to better outcomes for the broader community but can also enhance investment outcomes for investors. Consideration of the influence of ESG factors on the risk, return and longevity of an investment in a listed company or entity represents a more thorough due diligence process, and should lead to better risk-adjusted returns.

We define responsible investing as favouring listed companies and entities that operate sustainably and consider not only profit motivated issues, but also non-financial risks.

As part of our commitment to responsible investment, we have incorporated activities into our investment process that we believe provides a better outcome for our investors.

Read our Responsible Investment Policy in full.

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