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Funds (41472)
Name Wgt. Avg. Carbon Intensity
tCO₂e / Mio revenue
ESG Score ESG Rating
Av Pension BlackRock European Equity Index Tracker AP Pn 123.8 8.8 AAA
Aviva Pen Funds BlackRock European Equity Index Tracker Pn 123.8 8.8 AAA
Aviva Pen BlackRock European Equity Index Tracker FP Pn 123.8 8.8 AAA
Av Pen BlackRock European Equity Index Tracker EP 123.8 8.8 AAA
Poplar Forest Partners 123.8 9.0 AAA
L&G Invesco Perpetual Global Smaller Companies Pn 123.8 6.9 A
L&G Invesco Perpetual Global Smaller Companies 123.8 6.9 A
MetLife Invesco Perp Global Smaller Companies Pn 123.8 6.9 A
Invesco Smaller C & M IS - Global Smaller Companies (UK) 123.8 6.9 A
OMR Invesco Global Smaller Companies (UK) Life 123.8 6.9 A
OMR Invesco Global Smaller Companies (UK) 123.8 6.9 A
Av Pen Pen Invesco Global Smaller Companies EP 123.8 6.9 A
SW L&G Europe (ex UK) Equity Index 123.8 8.8 AAA
ZUR HSBC World Selection Portfolio 2 GBP 123.9 6.6 A
SYNCHRONY (LU) FUNDS - Synchrony (LU) World QualiLife Stocks 123.9 8.3 AA
Fidelity Advisor Small Cap Fund 123.9 7.4 AA
abrdn OEIC I - abrdn China A Share Equity Fund 123.9 4.2 BB
UniESG Aktien Deutschland 124.0 7.8 AA
UBS (Lux) Key Selection SICAV - Asia Allocation Opportunity (USD) 124.0 5.1 BBB
Candoris ICAV - Orchard US Small Cap Value 124.0 5.9 A
Amundi Fund Sol - Buy And Watch High Income Bond 11/2025 124.0 6.5 A
Robeco CGF - European High Yield Bonds 124.0 6.9 A
MPF- Europe ex UK Screened Index Equity Sub-Fund 124.0 8.8 AAA
MPF-Europe ex UK (100% Hedged) Screened Index Equity Sub-Fund 124.0 8.8 AAA
Calvert Ultra-Short Duration Income Fund 124.0 7.4 AA
Darwin Diversifie 80-100 124.0 9.0 AAA
SSgA Lux. SICAV - EMU Screened Index Equity Fund 124.1 9.0 AAA
Danske Invest China Fund 124.1 4.2 BB
FP Mattioli Woods Growth 124.1 7.1 A
ClearBridge Appreciation Fund 124.1 7.6 AA
Allspring (Lux) Worldwide Fund - China A Focus Fund 124.1 3.4 BB
L&G Jupiter Merlin Income Portfolio Pn 124.1 7.9 AA
ReAssure AL Jupiter Merlin Income Portfolio Pn 124.1 7.9 AA
Canlife Jupiter Merlin Income Portfolio 124.1 7.9 AA
Canlife Jupiter Merlin Income Portfolio Pn 124.1 7.9 AA
Stan Life Jupiter Merlin Income Portfolio Pn 124.1 7.9 AA
Mon Ire Multi-Asset Moderate 124.1 7.9 AA
ReAssure AL Jupiter Merlin Income Portfolio 124.1 7.9 AA
RLP Jupiter Merlin Income Portfolio Pn 124.1 7.9 AA
Stan Life Jupiter Merlin Income Portfolio 124.1 7.9 AA
SL Intl Jupiter Merlin Income 124.1 7.9 AA
Zurich Jupiter Merlin Income Portfolio Pn 124.1 7.9 AA
FNW Jupiter Merlin Income Portfolio 124.1 7.9 AA
OMR Jupiter Merlin Income Portfolio Life 124.1 7.9 AA
OMR Jupiter Merlin Income Portfolio 124.1 7.9 AA
L&G Jupiter Merlin Income Portfolio 124.1 7.9 AA
CAIXABANK GLOBAL INVEST 124.1 8.5 AA
ZIL Fidelity Pacific IPP 124.1 3.9 BB
MI Fidelity Pacific 124.1 3.9 BB
ZI Fidelity Pacific 124.1 3.9 BB
Fidelity Funds - Pacific Fund 124.1 3.9 BB
UBS (CH) Institutional Fund - Equities USA Index NSL 124.2 6.5 A
Loomis Sayles Intermediate Duration Bond Fund 124.2 6.8 A
VT Tatton Blended Balanced 124.2 7.0 A
FTIF - Franklin Global Convertible Securities Fund 124.2 6.1 A
Simmross Capital Fund 124.2 6.2 A
Aviva Pension Far Eastern Growth NMP 124.2 6.9 A
iShares Exponential Technologies ETF 124.2 7.9 AA
GREDOS BOLSA INTERNACIONAL 124.2 7.7 AA
Premier Miton Liberation Fund - Premier Miton Liberation VII 124.3 7.9 AA
Multicooperation SICAV - Julius Baer Eq. Asia 124.3 8.1 AA
AMUNDI S.F. - AMUNDI S.F. - SBI FM INDIA BOND 124.3 3.1 BB
Phoenix Wealth AXA US Short Duration High Yield Bond 124.3 5.9 A
Phoenix Wealth AXA US Short Duration High Yield Bond Pn 124.3 5.9 A
AXA FII ICVC - AXA US Short Duration High Yield Fund 124.3 5.9 A
Utmost AXA US Short Duration High Yield 124.3 5.9 A
AI UK Equity (Ex Aviva Investment Trusts) Index Institutional 124.3 8.8 AAA
AI UK Equity (Ex Aviva Investment Trusts) Index 124.3 8.8 AAA
BNY Mellon IF - Global Equity Income (Responsible) 124.4 9.2 AAA
Zurich Sinfonia Income & Growth Portfolio Pn 124.4 7.1 A
Sterling Sinfonia Income & Growth Portfolio 124.4 7.1 A
VT Sinfonia Income and Growth Portfolio 124.4 7.1 A
OMR VT Sinfonia Income Portfolio & Growth Life 124.4 7.1 A
OMR VT Sinfonia Income Portfolio & Growth 124.4 7.1 A
ZI Pimco GIS Emerging Markets Bond USD 124.4 3.5 BB
HSBC Insurance Global Emerging Markets Bond Fund (USD) 124.4 3.5 BB
PIMCO Funds: Global Inv. Series plc - Emerging Markets Bond 124.4 3.5 BB
Challenge Funds - Spain Equity Fund 124.4 7.3 AA
WS Blue Whale Investment Funds - WS Blue Whale Growth Fund 124.4 10.0 AAA
UTM IE GBP Global Dynamic Equity 124.4 7.9 AA
UTM IM GBP Global Dynamic Equity 124.4 7.9 AA
Zurich Embark Horizon Multi-Asset IV Pn 124.4 8.0 AA
Zurich Embark Horizon Multi-Asset IV 124.4 8.0 AA
Aviva Jupiter Merlin Income Portfolio 124.5 7.9 AA
LV= Jupiter Merlin Income Portfolio Pn S2 124.5 7.9 AA
LV= Jupiter Merlin Income Portfolio Pn 124.5 7.9 AA
Aviva Life Jupiter Merlin Income AL 124.5 7.9 AA
CLI Jupiter Merlin Income Portfolio 124.5 7.9 AA
Aviva Pen Funds Jupiter Merlin Income Portfolio Pn 124.5 7.9 AA
Jupiter Merlin Income Portfolio 124.5 7.9 AA
Sterling Jupiter Merlin Income Portfolio 124.5 7.9 AA
Fidelity ® Growth & Income Portfolio 124.5 8.0 AA
easyfolio 70 124.5 6.6 A
Danske Invest Neutral Fund 124.5 7.2 AA
Quoniam Funds Sel. SICAV - Global Credit MinRisk 124.5 8.2 AA
SUTL Cazenove Charity UCITS Fund - Charity Equity Value Fund 124.5 8.5 AA
Nordlux Pro Fondsmanagement - Konzept 60 124.5 7.8 AA
Phoenix Wealth Elite European Equity 124.5 8.4 AA
WS Waverton Charity Growth & Income 124.5 7.2 AA
UBS (Lux) Key Sel. SICAV - Global Allocation (CHF) 124.5 6.8 A
Companies (14025)
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