RIL panel of managers

Managers are assessed with respect to their ability to achieve the RIL Charter. At a minimum, each manager we select excludes investment in the sectors identified in the RIL Charter as having high negative social impact. Managers may also apply other considerations, due to commercial, geographical or other influences. For instance, some managers may impose wider restrictions on the industries that can be considered or must be avoided.

Asset class Manager Style/focus
Australian shares AMP Capital Investors Limited Sustainable alpha/GARP
BT Investment Management No. 2 Limited Core
International shares

Boston Common Asset Management LLC/Global Currents Investment Management

Value
Henderson Fund Management PLC Growth
Lazard Asset Management Core/quantitative
Property AMP Capital Investors Limited Global property securities
The GPT Group Direct office property
The GPT Group Direct retail property
Investa Properties Limited Direct office property
Lend Lease Real Estate Investments Limited Direct retail property
Macquarie Investment Management Limited Australian listed property - true index
  Retirement Villages Group Direct retirement villages
Fixed interest AMP Capital Investors Limited* Floating rate
ING Funds Management Limited* Floating rate
Macquarie Investment Management Limited* True index
Vianova (Asset Management)/AMP Capital (ESG Research)** Absolute return

* For RIL Conservative and Growth
** For RIL Balanced only

View the brief overview of each of the SRI managers' profiles.

 


 

Responsible Investment Leaders funds

Diversified funds Single sector funds
Responsible Investment Leaders Conservative Responsible Investment Leaders Australian Share
Responsible Investment Leaders Balanced Responsible Investment Leaders International Share
Responsible Investment Leaders Growth  

 

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