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Funds (41472)
Name Wgt. Avg. Carbon Intensity
tCO₂e / Mio revenue
ESG Score ESG Rating
Migros Bank (Lux) Fonds - 50 83.4 7.9 AA
Virtus Reaves Utilities ETF 2'038.9 7.9 AA
iShares Canadian Financial Monthly Income 79.1 7.9 AA
Euro Short Duration Bonds 122.5 7.9 AA
RLPPC Enhanced Buy and Maintain Credit Fund 0.0 7.9 AA
db Advisory Multibrands - DWS ESG Eurozone Bonds Flexible 72.1 7.9 AA
U Asset Allocation - Scontinvest Income EUR 59.3 7.9 AA
PineBridge Global Funds - US Research Enhanced Core Equity 116.9 7.9 AA
Swisscanto AST Avant Aktien Responsible Amerika 82.3 7.9 AA
Artisan Global Equity Fund 91.1 7.9 AA
Alfred Berg Nordic Investment Grade Mid Duration 5.4 7.9 AA
Investeringsforeningen Sydinvest-Sydinvest Global Value KL 70.9 7.9 AA
SIX CIRCLES MANAGED EQUITY PORTFOLIO U.S. UNCONSTRAINED FUND 0.0 7.9 AA
SG ACTIONS FRANCE VALEURS MOYENNES 0.0 7.9 AA
Quality Cyclicals Fund 161.7 7.9 AA
Swedbank Savings fund 100 0.0 7.9 AA
BNP Paribas Funds - Social Bond 0.0 7.9 AA
FundShare UCITS Stroeve Beheerd Beleggen Groei 53.4 7.9 AA
OMR ASI Strategic Bond Life 94.4 7.9 AA
OMR ASI Strategic Bond 94.4 7.9 AA
abrdn OEIC I - abrdn Strategic Bond Fund 94.4 7.9 AA
Swto (CH) Instl Pnsn Fd II (IPF II) - Swisscanto (CH) IPF II Eqty Fd Rs Nh Amrca 82.3 7.9 AA
CAIXABANK SOY ASI FLEXIBLE 101.8 7.9 AA
Handelsbanken Kreditt 0.0 7.9 AA
CAIXABANK BOLSA ESPANA 150 121.6 7.9 AA
AXA Investmentfonds - AXA Welt 52.3 7.9 AA
CAIXABANK BOLSA INDICE ESPANA 121.4 7.9 AA
Lyxor Index Fund - EuroMTS Covered Bond Aggregate UCITS ETF 0.0 7.9 AA
Aviva Pension Diversified Assets 5 Pn 171.2 7.9 AA
Aviva Insured Funds Diversified Assets Fund 5 Pn 171.2 7.9 AA
DBC Opportunity 14.6 7.9 AA
Global Real Assets Fund 230.7 7.9 AA
IMANTIA IBEX-35 0.0 7.9 AA
The New Jaguar 188.9 7.9 AA
RLPPC Over 5 Year Corporate Bond Pn 0.0 7.9 AA
DAM Select Managed 79.7 7.9 AA
Capital Opportunity Fund 85.5 7.9 AA
Amundi Öko Sozial Mix ausgewogen 94.2 7.9 AA
Calvert Mid-Cap Fund 229.7 7.9 AA
FID FIF - Fidelity Short Dated Corporate Bond Fund 0.0 7.9 AA
Yorktown Growth Fund 104.8 7.9 AA
TrinityBridge Balanced Tactical Passive Fund 141.9 7.9 AA
Causeway International Opportunities Fund 0.0 7.9 AA
HSBC Global Funds ICAV - Global Corporate Bond UCITS ETF 157.4 7.9 AA
Institutional BVG/LPP Flexible Fund 0.0 7.9 AA
Swisscanto (CH) Portfolio Fund I - Responsible Relax 0.0 7.9 AA
TOP-Investors Global 79.4 7.9 AA
MFS Investment Funds - Global Value 88.8 7.9 AA
Mirabaud Fund (CH) - Swiss Dividend 87.6 7.9 AA
R-co - R-co 4Change Moderate Allocation 62.4 7.9 AA
SPDR Series Trust - SPDR Portfolio Corporate Bond ETF 185.8 7.9 AA
WisdomTree U.S. ESG Fund 58.2 7.9 AA
Barings International Umbrella Fund - Barings German Growth Fund 153.8 7.9 AA
Aviva Life Nordea North American Value USD OL 486.9 7.9 AA
AXA World Funds - Global Buy and Maintain Credit 120.4 7.9 AA
SPDR® SSGA US Large Cap Low Volatility Index ETF 284.1 7.9 AA
OnePath OneAnswer Personal Super - OnePath High Growth Index 91.0 7.9 AA
ANZ OneAnswer Allocated Pension - OnePath High Growth Index 91.0 7.9 AA
ANZ OneAnswer Personal Super - OnePath High Growth Index 91.0 7.9 AA
Amundi Soluzioni Italia - Progetto Azione Connectivity Revolution (II) 0.0 7.9 AA
ARK Invest UCITS ICAV - Rize Environmental Impact 100 UCITS ETF 147.0 7.9 AA
RM Smart Strategy Fund 339.3 7.9 AA
DJE - Dividende & Substanz 194.1 7.9 AA
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
S&P 500 Ex-Financials ETF 0.0 7.9 AA
BNP Paribas Easy - € Corp Bond SRI PAB 0.0 7.9 AA
Invesco Markets II plc - Invesco S&P World Financials ESG UCITS ETF 3.6 7.9 AA
Xtrackers - Xtrackers MSCI Europe Financials Screened UCITS ETF 3.0 7.9 AA
BremenKapital Dynamik 170.4 7.9 AA
ALPS Equal Sector Weight ETF 294.9 7.9 AA
Cicero Offensiv Hallbar 0.0 7.9 AA
Mediolanum Best Brands - Dynamic International Value Opportunity 122.1 7.9 AA
Skandia Nordamerika Exponering 0.0 7.9 AA
DWS Invest II - DWS Invest II ESG US Top Dividend 113.0 7.9 AA
S4A EU Pure Equity 137.9 7.9 AA
Raiffeisen Futura - Global Bond 166.9 7.9 AA
Large Company Value Portfolio 0.0 7.9 AA
Amundi Index Solutions - Amundi EUR Corporate Bond ESG 68.0 7.9 AA
Handelsbanken Norge 0.0 7.9 AA
JSS Investmentfonds - JSS Multi Asset - Global Opportunities 54.5 7.9 AA
Morgan Stanley Investment Funds - Global Balanced Income Fund 109.3 7.9 AA
SSgA Lux. SICAV - State Street Global Screened Managed Volatility Equity Fund 172.4 7.9 AA
Calvert US Large-Cap Core Responsible Index ETF 83.1 7.9 AA
Calvert US Large-Cap Core Responsible Index Fund 83.3 7.9 AA
Quilter Investors OEIC - Corporate Bond 0.0 7.9 AA
Nordea Liv Indeksforvaltning 65 0.0 7.9 AA
Companies (14025)
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