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Understanding and analyzing ESG

Understanding the challenges of sustainable development and analyzing their impact on each industry or sector

Sustainable development challenges can directly affect the business activities of issuers, either negatively, as new risks arise, or positively, as new opportunities emerge. As an asset manager, Natixis Asset Management is committed to analyzing these issues, and the ways that issuers take them into account, in order to best serve our management teams and thus our clients.

To this end, Natixis Asset Management relies on the cutting-edge extra-financial research methodology developed by Mirova, its subsidiary dedicated to responsible investment. .

This is a proprietary ESG1 methodology, designed and applied by a team of 12 expert RI analysts from a broad spectrum of relevant backgrounds. The primary missions of this team are to explain the real-world implications of sustainable development challenges to our asset management teams, and to assess and rate a broad universe of issuers. More than 3,700 issuers have been assessed on ESG criteria.

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1 Environment, Social and Governance