CT Responsible Global Emerging Markets Equity Strategy – Responsible Profile 2023

For use by professional clients and/or equivalent investor types in your jurisdiction (not to be used with or passed on to retail clients). This is a marketing communication. Please refer to the prospectus of the UCITS and to the KIID / KID before making any final investment decisions.
Asian fishing harbor or fishing village with people on the beach

Insights

CT Responsible Global Emerging Markets Equity Strategy – Responsible Profile 2023

Gokce Bulut
Gokce Bulut
Portfolio Manager

In the Global Emerging Markets Equity team, we are deeply committed to our role as stewards of our clients' capital, ensuring transparency and accountability through regular reporting and disclosure.

Within our Strategy, we believe that our duty extends beyond just considering financial returns, but also encompasses the broader impact of our investments on society and the environment.

Emerging markets present unique opportunities and challenges for us as investors. These regions are often characterised by rapid economic growth, dynamic market potential, and significant social and environmental needs. Responsible investing in emerging markets is not only a moral imperative but also a strategic approach to achieving sustainable long-term returns. By integrating environmental, social, and governance considerations into our investment process, we aim to discover and support companies that are well-positioned to thrive in a sustainable future.

Investing responsibly in these markets can mitigate material risks associated with poor governance, social instability, and environmental degradation, which are often more prevalent in emerging economies. Furthermore, it allows us to leverage our capital to encourage positive corporate behaviour, as well as promote ethical practices, environmental stewardship, and social inclusion.

Within the Strategy, we believe that our investments can be a powerful catalyst for change. By actively engaging with the companies in our portfolio, we encourage them to adopt best practices in a myriad of sustainability standards. This engagement ranges from discussions with management to proxy voting and participating in shareholder resolutions. Our goal is to further a culture of accountability and continuous improvement within these companies, ultimately enhancing their long-term value.

We understand that our clients entrust us with their capital, expecting not only financial returns but also responsible management of their investments. Transparent reporting is essential to us to maintaining this trust. Our 2023 Responsible Profile report aims provide detailed insights into our investment processes, RI integration strategies, and the tangible progress of our investments. We also highlight case studies of portfolio holdings that have made significant strides in improving their ESG practices, illustrating the real-world outcomes of our responsible investing approach.

Moreover, we are committed to continuous learning and improvement. We regularly review and refine our RI criteria and investment strategies to adapt to evolving market conditions and emerging sustainability challenges. By doing so, we ensure that we remain at the forefront of responsible investing in emerging markets.

Download the full report

Learn more about our dedication to responsible investing, highlighting our efforts to drive positive change in the markets where we operate.

Temáticas clave

Suscríbete a nuestros Insights

Puedes seleccionar las temáticas que más te interesaría recibir en tu correo electrónico.

Últimos artículos

Learn how we engage to understand and encourage improvement in companies’ management practices of ESG issues
Los mercados están anticipando recortes de tipos de 100 puntos básicos para finales de año. Con sólo 3 reuniones por delante, se trata de una cifra bastante elevada.
La Ley sobre Reducción de la Inflación ha contribuido a que se produzca un notable incremento de las energías limpias y los proyectos tecnológicos en Estados Unidos, así como de las inversiones en producción.
Share article
Temas clave
Temas relacionados

PDF

CT Responsible Global Emerging Markets Equity Strategy – Responsible Profile 2023

1 Source 1
2 Source 2
3 Source 3

Important information

© 2024 Columbia Threadneedle Investments. Columbia Threadneedle Investments is the global brand name of the Columbia and Threadneedle group of companies.
 
For professional investors and qualified investors only.
 
Issued for information purposes only by Columbia Threadneedle Investments.
 
In the UK: Issued by Threadneedle Asset Management Limited, No. 573204 and/or Columbia Threadneedle Management Limited, No. 517895, both registered in England and Wales and authorised and regulated in the UK by the Financial Conduct Authority.
 
In the EEA: Issued by Threadneedle Management Luxembourg S.A., registered with the Registre de Commerce et des Sociétés (Luxembourg), No. B 110242 and/or Columbia Threadneedle Netherlands B.V., regulated by the Dutch Authority for the Financial Markets (AFM), registered No. 08068841.
 
In Switzerland: Issued by Threadneedle Portfolio Services AG, an unregulated Swiss firm or Columbia Threadneedle Management (Swiss) GmbH, acting as representative office of Columbia Threadneedle Management Limited, authorised and regulated by the Swiss Financial Market Supervisory Authority (FINMA).
 
In the Middle East: This document is distributed by Columbia Threadneedle Investments (ME) Limited, which is regulated by the Dubai Financial Services Authority (DFSA). For Distributors: This document is intended to provide distributors with information about Group products and services and is not for further distribution. For Institutional Clients: The information in this document is not intended as financial advice and is only intended for persons with appropriate investment knowledge and who meet the regulatory criteria to be classified as a Professional Client or Market Counterparties and no other Person should act upon it. This material should not be considered as an offer, solicitation, advice or an investment recommendation. This communication is valid at the date of publication and may be subject to change without notice. Information from external sources is considered reliable but there is no guarantee as to its accuracy or completeness.

Opiniones relacionadas

31 marzo 2022

Dara White

Director Global de Renta Variable de los Mercados Emergentes

Mercados emergentes: centrarse en los fundamentos finalmente dará sus frutos

Desde el final del tercer trimestre de 2021, los mercados emergentes registran una considerable volatilidad del mercado. Una rotación significativa desde el estilo de crecimiento hacia el de valor (gráfico 1).
Tiempo de lectura - 5 min
1 marzo 2022

William Davies

Director Global de Inversiones

Sortear la volatilidad en 2022 con la ventaja de un enfoque activo

Los mercados globales de renta variable muestran una volatilidad cada vez mayor al verse afectados por los temores generalizados sobre el aumento de los tipos de interés y de la inflación, el final de los estímulos fiscales en numerosas regiones y las tensiones geopolíticas.
Tiempo de lectura - 5 min
2 febrero 2022

Edward Al-Hussainy

Senior Interest Rate and Currency Analyst

Ganar claridad en 2022: La política monetaria y la curva de tipos

La política monetaria no va a ser tan favorable en 2022. A continuación, le explicamos lo que esto supone para los tipos y la curva de tipos.
Tiempo de lectura - 4 min
28 agosto 2024

Steven Bell

Economista Jefe, EMEA

¿Qué nos dicen los bancos centrales sobre los tipos de interés?

Los mercados están anticipando recortes de tipos de 100 puntos básicos para finales de año. Con sólo 3 reuniones por delante, se trata de una cifra bastante elevada.
Tiempo visualización - 5 min
12 agosto 2024

Natalia Luna

Senior Thematic Investment Analyst, Global Research

Comicios en Estados Unidos: la Ley sobre Reducciónde la Inflación y el riesgo de que se derogue

La Ley sobre Reducción de la Inflación ha contribuido a que se produzca un notable incremento de las energías limpias y los proyectos tecnológicos en Estados Unidos, así como de las inversiones en producción.
Tiempo de lectura - 3 min
7 agosto 2024

David Backhouse

Portfolio Manager, High Yield

Roman Gaiser

Director de Alto Rendimiento, EMEA

Alto rendimiento: vuelve a hacer lo que anuncia

El dilatado periodo de tipos de interés reducidos y próximos a cero que arrancó en 2009 se tradujo en que el alto rendimiento europeo siguiera la estela y marcara una cota inferior al 3%.
Tiempo de lectura - 3 min

Important information

© 2024 Columbia Threadneedle Investments. Columbia Threadneedle Investments is the global brand name of the Columbia and Threadneedle group of companies.
 
For professional investors and qualified investors only.
 
Issued for information purposes only by Columbia Threadneedle Investments.
 
In the UK: Issued by Threadneedle Asset Management Limited, No. 573204 and/or Columbia Threadneedle Management Limited, No. 517895, both registered in England and Wales and authorised and regulated in the UK by the Financial Conduct Authority.
 
In the EEA: Issued by Threadneedle Management Luxembourg S.A., registered with the Registre de Commerce et des Sociétés (Luxembourg), No. B 110242 and/or Columbia Threadneedle Netherlands B.V., regulated by the Dutch Authority for the Financial Markets (AFM), registered No. 08068841.
 
In Switzerland: Issued by Threadneedle Portfolio Services AG, an unregulated Swiss firm or Columbia Threadneedle Management (Swiss) GmbH, acting as representative office of Columbia Threadneedle Management Limited, authorised and regulated by the Swiss Financial Market Supervisory Authority (FINMA).
 
In the Middle East: This document is distributed by Columbia Threadneedle Investments (ME) Limited, which is regulated by the Dubai Financial Services Authority (DFSA). For Distributors: This document is intended to provide distributors with information about Group products and services and is not for further distribution. For Institutional Clients: The information in this document is not intended as financial advice and is only intended for persons with appropriate investment knowledge and who meet the regulatory criteria to be classified as a Professional Client or Market Counterparties and no other Person should act upon it. This material should not be considered as an offer, solicitation, advice or an investment recommendation. This communication is valid at the date of publication and may be subject to change without notice. Information from external sources is considered reliable but there is no guarantee as to its accuracy or completeness.

También puede interesar

Enfoque de inversión

El trabajo en equipo nos define y es fundamental en nuestro proceso de inversión, estructurado para facilitar la generación, consecución e implementación de grandes y fuertes ideas de inversión para nuestras carteras.

Fondos

Columbia Threadneedle Investments dispone de una amplia gama de fondos de inversión que cubre diversos objetivos de inversión.

Capacidades de inversión

Ofrecemos un amplio abanico de soluciones y estrategias de inversión gestionadas activamente que abarcan mercados y clases de activos a escala mundial, regional y nacional.

Thank you. You can now visit your preference centre to choose which insights you would like to receive by email.

To view and control which insights you receive from us by email, please visit your preference centre.

Woman listens to music through headphones
Play Video

CT Property Trust- Fund Manager Update

Sed ut perspiciatis unde omnis iste natus error sit voluptatem accusantium doloremque laudantium

Confirme algunos detalles sobre usted para visitar su centro de preferencias

*Campos obligatorios

Algo salió mal. Por favor, vuelva a intentarlo

Gracias. Ahora puede visitar su centro de preferencias para elegir qué información le gustaría recibir por correo electrónico.

Para ver y actualizar qué información recibe de nosotros por correo electrónico, visite su centro de preferencias