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Funds (53231)
Name Wgt. Avg. Carbon Intensity
tCO₂e / Mio revenue
ESG Score ESG Rating
LV= MGTS Sentinel Enterprise Pn 70.5 7.3 AA
LV= MGTS Sentinel Enterprise Portfolio Pn 70.5 7.3 AA
LV= MGTS Sentinel Defensive Pn S2 0.0 0.0
LV= MGTS Sentinel Defensive Pn 0.0 0.0
LV= M&G Strategic Corporate Bond Pn S2 81.2 7.7 AA
LV= M&G Recovery Pn S2 100.7 9.0 AAA
LV= M&G Recovery Pn 101.8 9.0 AAA
LV= M&G Optimal Income Pn S2 49.8 7.0 A
LV= M&G North American Dividend Pn S2 203.7 8.5 AA
LV= M&G North American Dividend Pn 203.7 8.5 AA
LV= M&G Global Themes Pn S2 167.4 7.3 AA
LV= M&G Global Themes Pn 167.4 7.3 AA
LV= M&G Global Dividend Pn S2 139.3 8.6 AAA
LV= M&G Corporate Bond Pn S2 79.7 8.0 AA
LV= M&G Corporate Bond Pn 79.7 8.0 AA
LV= M&G Climate Aware Multi-Asset Pn (S2) 43.2 7.3 AA
LV= Liontrust UK Smaller Companies Pn 0.0 0.0
LV= Liontrust UK Smaller Companies Pn S2 0.0 0.0
LV= Liontrust UK Growth Pn S2 58.6 9.0 AAA
LV= Liontrust UK Growth Pn 58.6 9.0 AAA
LV= Liontrust Sustainable Future Global Growth Pn S2 30.9 8.4 AA
LV= Liontrust Sustainable Future Managed Growth Pn S2 30.8 8.3 AA
LV= Liontrust Sustainable Future Managed Pn S2 37.7 8.6 AAA
LV= Liontrust Sustainable Future Defensive Managed Pn S2 33.8 8.2 AA
LV= Liontrust Sustainable Future Cautious Managed Pn S2 34.4 8.3 AA
LV= L&G Strategic Bond Pn S2 90.3 6.3 A
LV= L&G Property Pn S2 0.0 0.0
LV= L&G Multi-Index Income 6 Pn S3 237.3 7.3 AA
LV= L&G Multi-Index Income 5 Pn S3 194.7 7.2 AA
LV= L&G Multi-Index Income 4 Pn S3 131.0 6.9 A
LV= L&G Multi-Index 7 Pn S3 211.0 7.5 AA
LV= L&G Multi-Index 6 Pn S3 197.5 7.3 AA
LV= L&G Multi-Index 5 Pn S3 176.1 7.3 AA
LV= L&G Multi-Index 4 Pn S3 154.0 7.0 A
LV= L&G Multi-Index 3 Pn S3 0.0 6.8 A
LV= L&G Future World ESG Screened and Selected Multi-Index 5 Pn S3 77.6 7.7 AA
LV= L&G Future World ESG Screened and Selected Multi-Index 4 Pn S3 59.6 7.4 AA
LV= L&G Active Sterling Corporate Bond Plus Pn S2 56.8 7.8 AA
LV= Jupiter UK Income S2 Pn 153.1 8.8 AAA
LV= Jupiter UK Income Pn 153.1 8.8 AAA
LV= Jupiter Merlin Worldwide Portfolio Pn S2 136.4 7.3 AA
LV= Jupiter Merlin Income Portfolio Pn 124.5 7.9 AA
LV= Jupiter Merlin Income Portfolio Pn S2 124.5 7.9 AA
LV= Jupiter Merlin Growth Portfolio Pn 141.2 7.8 AA
LV= Jupiter Merlin Growth Portfolio Pn S2 141.2 7.8 AA
LV= Jupiter Merlin Conservative Select Pn S2 85.7 7.6 AA
LV= Jupiter Merlin Balanced Portfolio Pn S2 110.7 7.7 AA
LV= Jupiter Japan Income S2 Pn 81.8 10.0 AAA
LV= Jupiter Japan Income Pn 81.8 10.0 AAA
LV= Jupiter India Pn S2 396.5 0.0
LV= Jupiter European Special Situations Pn S2 134.2 9.8 AAA
LV= Jupiter Emerging European Opportunities Pn 0.0 0.0
LV= Jupiter Emerging European Opportunities Pn S2 0.0 0.0
LV= Jupiter Ecology Pn S2 299.0 8.1 AA
LV= Jupiter Ecology Pn 299.0 8.1 AA
LV= JPM Natural Resources Pn S2 415.5 8.2 AA
LV= JPM Natural Resources Pn 415.5 8.2 AA
LV= JPM Global Macro ESG Pn 0.0 0.0
LV= JPM Global Macro ESG (s2) Pn 0.0 0.0
LV= JPM Europe Dynamic Ex UK Pn S2 339.2 8.9 AAA
LV= JPM Europe Dynamic Ex UK Pn 339.2 8.9 AAA
LV= Janus Henderson Sterling Bond Pn 0.0 0.0
LV= ishares ESG Screened Overseas Corporate Bond Index Pn S2 85.4 7.6 AA
LV= iShares Environment & Low Carbon Tilt Real Estate Index Pn S2 117.8 6.3 A
LV= Invesco UK Smaller Companies Equity (UK) Pn 55.9 8.6 AA
LV= Invesco UK Smaller Companies Equity (UK) Pn S2 55.9 8.6 AA
LV= Invesco UK Opportunities (UK) Pn 134.0 8.2 AA
LV= Invesco UK Opportunities (UK) Pn S2 134.0 8.2 AA
LV= Invesco UK Equity Income Pn S2 158.7 8.4 AA
LV= Invesco UK Equity Income Pn 158.7 8.4 AA
LV= Invesco UK Equity High Income (UK) Pn 154.4 8.7 AAA
LV= Invesco UK Equity High Income (UK) (s2) 154.4 8.7 AAA
LV= Invesco Monthly Income Plus (UK) Pn 0.0 7.3 AA
LV= Invesco Monthly Income Plus (UK) Pn S2 0.0 7.3 AA
LV= Invesco Global Bond (UK) Pn S2 34.8 6.3 A
LV= Invesco Distribution (UK) Pn S2 62.1 7.7 AA
LV= Invesco Distribution (UK) Pn 62.1 7.7 AA
LV= Invesco Corporate Bond (UK) Pn S2 68.2 7.7 AA
LV= Invesco Corporate Bond (UK) Pn 68.2 7.7 AA
LV= Invesco China Equity (UK) Pn S2 263.6 3.5 BB
LV= Invesco Asian (UK) Pn S2 224.3 5.9 A
LV= Invesco Asian (UK) Pn 224.3 5.9 A
LV= Global Equity Index Pn 0.0 0.0
LV= FTF MC US Unconstrained Pn S2 0.0 0.0
LV= FTF MC US Unconstrained Pn 0.0 0.0
LV= FTF MC Global Unconstrained Pn S2 0.0 0.0
LV= FTF MC Global Unconstrained Pn 0.0 0.0
LV= FTF MC Asia Unconstrained Pn S2 0.0 0.0
LV= FTF MC Asia Unconstrained Pn 0.0 0.0
LV= Fidelity Strategic Bond Pn S2 152.3 7.0 A
LV= Fidelity Strategic Bond Pn 152.3 7.0 A
LV= Fidelity Special Situations Pn S2 99.6 8.9 AAA
LV= Fidelity Special Situations Pn 99.6 8.9 AAA
LV= Fidelity Responsible Emerging Markets Equity Pn S2 473.4 7.4 AA
LV= Fidelity Open World Pn S2 0.0 0.0
LV= Fidelity Open World Pn 0.0 0.0
LV= Fidelity Multi Asset Open Growth Pn 0.0 0.0
LV= Fidelity Multi Asset Open Strategic Pn 0.0 0.0
LV= Fidelity Multi Asset Open Growth Pn S2 0.0 0.0
LV= Fidelity Multi Asset Open Strategic Pn S2 0.0 0.0
Companies (14025)
no companies found