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Dexia Asset Management is a pioneer in Sustainable and Responsible Investment. We offer the widest range of SRI funds in Continental Europe.

SRI is one of our key strategic businesses - our Sustainability Analysis and funds have won many awards and quality marks.

 

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FAQ

What is SRI?

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Why invest in SRI?

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Are SRI returns equivalent to traditional investment returns?

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What are Dexia Asset Management’s areas of sustainability analysis for companies?

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What sources of information do Dexia Asset Management sustainability analysts use?

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Press Room

[12/12/11]

Dexia Asset Management appoints Cécile de Lasteyrie as Head of SRI Development

Cécile de Lasteyrie has been appointed Head of SRI Development of Dexia Asset Management (Dexia AM) as of December 2011. She will be the ambassador for Dexia AM’s expertise in Sustainable & Responsible Investing (SRI) and help in defining the company’s SRI strategy in coordination with the Global Head of SRI, Isabelle Cabie, and her team of SRI analysts.

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Sustainable North America strategy 

[28/09/10]

Systematically taking environmental and ESG criteria into account when making investment decisions 

Dexia AM’ sustainable North America strategy follows a philosophy that systematically takes environmental, social and governance (ESG) criteria into account when making investment decisions.


 

A careful selection is done, within each sector, of companies that are best positioned towards the global sustainability trends (Macro analysis) and that manage stakeholders’ interests in the best way (Micro analysis). Furthermore, we only invest in companies that respect the ten principles of the United Nations Global Compact and are not involved in the arms industry. This ESG filter is completed by a powerful quantitative management process that detects the best investment opportunities.

Why invest in Sustainable North America?

  • Participation in US market recovery;
  • Detection of investment opportunities in a fully objective manner through in-house developed models by an experienced quantitative management team;
  • Integration of multi-criteria ESG by dedicated SRI analysts;
  • Unique SRI quantitative strategy within a North American investment zone.

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