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A responsible investor since 1991

As the creation of sustainable value results from balance and a management perspective focused on the world of tomorrow, our approach as a responsible investor applies to all the companies in our portfolio.

SRI, a conviction from the very beginning

Since our creation in 1991, we have paid particular attention to the governance of the companies in which we invest, and in particular to the men and women who run them. In 2007, we took a new structuring step with the formalisation of our ESG analysis methodology. Our proprietary method has been enriched over the years, and is still based on the same foundation: meetings with business owners, the only way to forge a well-grounded opinion on a company’s ESG quality. In 2024, our approach was further strengthened by the contribution of our shareholder, a key player in sustainable finance. Today, we benefit from extensive coverage of issuers, and our methodology combines qualitative and quantitative analysis, using the proprietary GREaT model.

Impact investing in listed securities

A pioneer in France for impact investing on listed markets, we have developed an innovative, dynamic philosophy which reflects our unique and sophisticated positioning. This philosophy is based on three pillars: intentionality, additionality and measurability. Specifically, our approach is characterised by a commitment to be transparent with investors, as demonstrated by the annual publication of impact reports.

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Impact investing in listed securities
A commitment to climate and biodiversity

A commitment to climate and biodiversity

To respond to the emergency of climate change and biodiversity preservation, we have adjusted our governance and adopted ambitious thematic policies at Group level. The aim of these policies, which are designed to mobilize clients and businesses alike, is to integrate climate and biodiversity issues into all our business activities and decision-making processes.

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A responsible investment research team at the core of our management

The Responsible Investment Research team provides the entire management team with support in our ESG integration process. It contributes to the development of SRI expertise, both internally and externally. It can count on the support of the LBP AM Group’s SRI Solutions team.

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Our ESG analysis

Our ESG analysis of portfolio companies is based on the LBP AM Group's proprietary GREaT ESG rating methodology.

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Our SRI offer

Our investment solutions to combine meaning and performance.

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Access our SRI documentation, or explore the theme.

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