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ESG APPROACH

LB-P Asset Management funds range does not currently include SRI funds. However, the management process is focused on maximizing value creation for its clients, while ensuring the respect for the principles of sustainable development. In addition, the ESG approach is integrated in the definition of the investment policies to be established by the asset management company with real estate fund investors, in particular by assessing the quality of the underlying real estate assets.

 

LB-P Asset Management fully assumes its role as a responsible investor, through its course of action and is thus led to invest in companies meeting several ESG criteria. As examples, the management team pays particular attention to the following items : transparency of the financial communication, separation of functions, management quality and skills, independence of the board of directors.

 

In addition, LB-P Asset Management may use some ESG gross data provided by its providers.

 

LB-P Asset Management teams are attentive to any changes in the legislation relating to the consideration and application of ESG criteria.

 

Please find below the link to the report under article 29 of the Energy Climate Law :

http://www.lb-pam.com/upload/telechargement/899980-rapport 29LEC.pdf