At BMO Global Asset Management, we believe prudent management of environmental, social and governance (ESG) issues can have an important impact on the creation of long-term investor value. Companies that successfully manage their ESG risks, and proactively follow ESG best practices, may experience risk-adjusted outperformance over the longer-term. This belief underpins our commitment to being a responsible investor.
Material ESG considerations are integrated into our overall investment process. Our research analysts and portfolio managers look at the potential impact of ESG issues related to investments in our internally managed portfolios, and we seek partners that do the same. This analysis informs our asset allocation, stock selection, portfolio construction, shareholder engagement and voting.
In addition to integrating material ESG issues into our investment decision-making, we also take an active approach to ownership. We have a comprehensive global program of engagement with the companies we invest in, encouraging them to adopt best practices on a wide range of ESG issues. Examples of our dialogue include:
BMO Global Asset Management
Learn more about responsible investing at BMO.
Impact investing is rapidly gaining relevancy as investors are showing increased interest in investing in funds that can not only generate strong returns, but can also make a positive social contribution, aligning with their personal values.
BMO integrates environmental, social and governance (ESG) considerations into our financing and lending activities – mitigating risk while creating the conditions
that drive a more sustainable future.