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Funds (53231)
Name Wgt. Avg. Carbon Intensity
tCO₂e / Mio revenue
ESG Score ESG Rating
ABAKUS - ABAKUS New Growth Stocks 0.0 0.0
Abaki UI 102.6 9.7 AAA
Abaki Fixed Income Convexity 0.0 0.0
Abacus Tactical High Yield ETF 0.0 0.0
Abacus FCF Leaders ETF 0.0 0.0
Abacus FCF International Leaders ETF 0.0 0.0
Abacus FCF Innovation Leaders ETF 0.0 0.0
Abaco Renta Fija Mixta Global 0.0 4.6 BBB
Abaco Renta Fija 0.0 0.0
Abaco Global Value Opportunities 0.0 3.6 BB
Abaco Fund ICVC 129.3 8.2 AA
AB Wealth Appreciation 0.0 0.0
AB Virginia Portfolio 0.0 0.0
AB US Low Volatility Equity ETF 91.2 8.7 AAA
AB US Large Cap Strategic Equities ETF 0.0 0.0
AB US High Dividend ETF 109.0 7.3 AA
AB Ultra Short Income ETF 0.0 0.0
AB Total Return Bond Portfolio 0.0 0.0
AB Taxable Multi-Sector Income Shares 0.0 5.9 A
AB Tax-Managed Wealth Appreciation 0.0 0.0
AB Tax-Aware™ Short Duration Municipal ETF 0.0 0.0
AB Tax-Aware™ Long Municipal ETF 0.0 0.0
AB Tax-Aware™ Intermediate Municipal ETF 0.0 0.0
AB Tax-Aware Real Return Income Shares 0.0 0.0
AB Tax-Aware Fixed Income Opportunities 0.0 0.0
AB Sustainable US Thematic 74.4 9.9 AAA
AB Sustainable Thematic Credit 0.0 0.0
AB Sustainable Thematic Balanced 45.0 8.2 AA
AB Sustainable International Thematic Fund 38.9 8.4 AA
AB Sustainable Global Thematic Fund 69.9 8.4 AA
AB Small Cap Value 0.0 0.0
AB Small Cap Growth 0.0 0.0
AB SICAV III - Fixed Maturity Bond 2026 Portfolio 141.8 8.3 AA
AB SICAV III - Dynamic All Market Portfolio 84.5 7.2 AA
AB SICAV III - AB Multi-Asset 2022-I Portfolio 0.0 0.0
AB SICAV I - USD Corporate Bond Portfolio 0.0 0.0
AB SICAV I - US Value Portfolio 0.0 0.0
AB SICAV I - US Small and Mid-Cap Portfolio 141.9 8.2 AA
AB SICAV I - US Low Volatility Equity Portfolio 97.4 9.0 AAA
AB SICAV I - US High Yield Portfolio 187.5 5.8 A
AB SICAV I - Sustainable US Thematic Portfolio 72.3 9.2 AAA
AB SICAV I - Sustainable Income Portfolio 42.8 6.9 A
AB SICAV I - Sustainable Global Thematic Portfolio 69.9 8.4 AA
AB SICAV I - Sustainable Global Thematic Credit Portfolio 79.5 9.3 AAA
AB SICAV I - Sustainable Euro High Yield Portfolio 0.0 0.0
AB SICAV I - Sustainable Emerging Market Debt Portfolio 86.2 5.1 BBB
AB SICAV I - Sustainable Climate Solutions Portfolio 172.6 8.2 AA
AB SICAV I - Sustainable All Market Portfolio 80.1 8.7 AAA
AB SICAV I - Short Duration Income Portfolio 54.1 5.6 BBB
AB SICAV I - Short Duration High Yield Portfolio 231.9 5.5 BBB
AB SICAV I - Select US Equity Portfolio 168.0 7.8 AA
AB SICAV I - Select Absolute Alpha Portfolio 167.6 7.3 AA
AB SICAV I - Security of the Future Portfolio 0.0 0.0
AB SICAV I - RMB Income Plus Portfolio 163.5 3.6 BB
AB SICAV I - Multi-Strategy Alternative Portfolio 0.0 7.3 AA
AB SICAV I - Low Volatility Total Return Equity Portfolio 70.3 9.0 AAA
AB SICAV I - Low Volatility Equity Portfolio 71.3 9.0 AAA
AB SICAV I - International Technology Portfolio 23.7 7.3 AA
AB SICAV I - International Health Care Portfolio 13.1 9.8 AAA
AB SICAV I - India Growth Portfolio 223.8 5.3 BBB
AB SICAV I - Global Value Portfolio 0.0 0.0
AB SICAV I - Global Real Estate Securities Portfolio 94.0 7.8 AA
AB SICAV I - Global Plus Fixed Income Portfolio 23.7 6.7 A
AB SICAV I - Global Income Portfolio 122.6 6.0 A
AB SICAV I - Global Growth Portfolio 0.0 0.0
AB SICAV I - Global ESG Improvers Portfolio 125.2 8.6 AA
AB SICAV I - Global Equity Income and Growth Portfolio 0.0 0.0
AB SICAV I - Global Dynamic Bond Portfolio 0.0 7.8 AA
AB SICAV I - Global Core Equity Portfolio 70.9 9.0 AAA
AB SICAV I - Global Climate Transition Equity Portfolio 26.6 9.0 AAA
AB SICAV I - Flexible Income Portfolio 0.0 0.0
AB SICAV I - Financial Credit Portfolio 3.1 8.5 AA
AB SICAV I - Event Driven Portfolio 0.0 7.6 AA
AB SICAV I - Eurozone Equity Portfolio 147.4 8.7 AAA
AB SICAV I - European Growth Portfolio 0.0 0.0
AB SICAV I - European Equity Portfolio 142.0 9.2 AAA
AB SICAV I - Europe (Ex UK) Equity Portfolio 0.0 0.0
AB SICAV I - Euro Corporate Bond Portfolio 0.0 0.0
AB SICAV I - Emerging Markets Opportunities Portfolio 0.0 0.0
AB SICAV I - Emerging Market Corporate Debt Portfolio 522.9 5.5 BBB
AB SICAV I - Emerging Markets Low Volatility Equ. Portfolio 99.6 5.1 BBB
AB SICAV I - Emerging Markets Multi-Asset Portfolio 201.8 4.0 BB
AB SICAV I - Emerging Market Local Currency Debt Portfolio 0.1 0.0
AB SICAV I - Diversity Champions Equity Portfolio 31.8 9.0 AAA
AB SICAV I - Concentrated US Equity Portfolio 29.6 10.0 AAA
AB SICAV I - Concentrated Global Equity Portfolio 25.1 8.9 AAA
AB SICAV I - Climate High Income Portfolio 114.4 6.6 A
AB SICAV I - China Net Zero Solutions Portfolio 263.7 4.0 BB
AB SICAV I - China Bond Portfolio 0.0 0.0
AB SICAV I - China A Shares Equity Portfolio 287.5 2.2 B
AB SICAV I - Asia Pacific Local Currency Debt Portfolio 6.0 5.0 BBB
AB SICAV I - Asia Income Opportunities Portfolio 527.6 4.5 BBB
AB SICAV I - Asia High Yield Portfolio 624.8 3.5 BB
AB SICAV I - American Multi-Asset Portfolio 120.4 7.4 AA
AB SICAV I - American Growth Portfolio 13.9 9.1 AAA
AB SICAV I - All Market Income Portfolio 140.1 6.9 A
AB SICAV I - All China Equity Portfolio 167.6 4.0 BB
AB Short Duration Income 0.0 0.0
AB Short Duration High Yield ETF 247.1 5.6 BBB
AB Short Duration 15.8 5.9 A
Companies (14025)
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