Demonstrating impact

Today we are witnessing high expectations around impact measurement. As the willingness to invest differently grows among both professional and individual investors, demands for results are also increasing.

Mirova

Our idea of impact

Mirova was created with the goal of offering investors strategies for reconciling the creation of financial returns while also having a positive impact on society. Our positioning is precisely in line with the impact investment approach, which we apply across all our asset classes.

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Developing indicators

Because impact measurement is both a necessary requirement and a real challenge when it comes to compiling relevant reports on the various environmental and social impacts of our investments, we have chosen to develop both qualitative and quantitative indicators:

  • Qualitative impact measurements of contribution to the various sustainable development goals

visuel cambridge
Source: Cambridge/ ILG

 

  • Physical impact indicators for several key areas, which we are gradually enriching apace with methodological advances and improvements to the quality of available data

Providing transparency

Mirova strives to offer maximum transparency in its quest for environmental and social impact. In reporting on our actions and their results, we make public a variety of documents including transparency codes and impact reports

By getting labels

greenfin labelGreenfin Label

Reportings are available on every labelled fund page

label isr

SRI label

Reportings are available on every labelled fund page

label "Relance" 2020

Label "Relance" 2020

Insertion Emplois Dynamique (IED) obtained the label "Relance"

label "towards sustainability"

Label "Towards Sustainability"

Mirova Euro Green and Sustainable Bond Fund, Mirova Euro Green and Sustainable Corporate Bond Fund, Mirova Europe Environmental Equity Fund, Mirova Global Green Bond Fund

Luxflag label 2017

Luxflag Label 2017

Mirova-Eurofideme 3 awarded the Luxflag Environment label

References to rankings, awards and/or ratings are not indicators of future performance of funds or of the asset manager