You are here:Home

yourSRI Search

Funds (53231)
Name Wgt. Avg. Carbon Intensity
tCO₂e / Mio revenue
ESG Score ESG Rating
AB Select US Long/Short 150.3 7.1 AA
AB Select US Equity 150.9 7.4 AA
AB Relative Value Fund 74.4 8.7 AAA
AB Pennsylvania Portfolio 0.0 0.0
AB Ohio Portfolio 0.0 0.0
AB New York Portfolio 0.0 0.0
AB New Jersey Portfolio 0.0 0.0
AB National Portfolio 0.0 0.0
AB Municipal Income Shares 0.0 0.0
AB Municipal Bond Inflation 0.0 0.0
AB Minnesota Portfolio 0.0 0.0
AB Mid Cap Value Portfolio 0.0 0.0
AB Massachusetts Portfolio 0.0 0.0
AB Large Cap Value 192.8 8.9 AAA
AB Large Cap Growth Fund 14.0 8.2 AA
AB International Value Fund 120.8 9.2 AAA
AB International Low Volatility Equity 44.9 8.8 AAA
AB International Low Volatility Equity ETF 0.0 0.0
AB Intermediate New York Municipal Portfolio 0.0 0.0
AB Intermediate Diversified Municipal 0.0 0.0
AB Intermediate California Municipal Portfolio 0.0 0.0
AB Impact Municipal Income Shares 0.0 0.0
AB High Yield ETF 226.1 5.8 A
AB High Income Municipal Portfolio 0.0 0.0
AB High Income Fund 0.0 5.4 BBB
AB Growth Fund 14.3 8.2 AA
AB Global Risk Allocation Fund 65.1 6.6 A
AB Global Real Estate Investment II 0.0 0.0
AB Global Real Estate Investment 100.5 7.2 AA
AB Global Equity Unhedged Fund Pn 0.0 0.0
AB Global Equity Hedged Fund Pn 0.0 0.0
AB Global Core Equity 79.3 8.2 AA
AB Global Bond Fund 38.1 6.7 A
AB FCP II - Emerging Markets Value Portfolio 298.0 5.6 BBB
AB FCP I - Short Duration Bond Portfolio 9.4 7.2 AA
AB FCP I - Mortgage Income Portfolio 0.0 0.0
AB FCP I - Japan Strategic Value Portfolio 0.5 8.2 AA
AB FCP I - Global Value Portfolio 108.3 9.3 AAA
AB FCP I - Global High Yield Portfolio 260.9 5.2 BBB
AB FCP I - Global Equity Blend Portfolio 87.5 9.0 AAA
AB FCP I - Global Bond II Portfolio 0.0 0.0
AB FCP I - European Income Portfolio 0.0 7.2 AA
AB FCP I - Emerging Markets Growth Portfolio 94.3 6.4 A
AB FCP I - Emerging Markets Debt Portfolio 115.5 3.2 BB
AB FCP I - Dynamic Diversified Portfolio 54.1 8.0 AA
AB FCP I - China Low Volatility Equity Portfolio 157.2 4.5 BBB
AB FCP I - Asia Ex-Japan Equity Portfolio 278.7 4.9 BBB
AB FCP I - American Income Portfolio 169.0 6.1 A
AB Equity Income Fund 143.3 8.5 AA
AB Emerging Markets Multi-Asset 148.9 4.3 BB
AB Dynamic Diversified Beta 0.0 7.5 AA
AB Disruptors ETF 28.7 8.2 AA
AB Discovery Value Fund 149.0 8.2 AA
AB Discovery Growth Fund 47.5 7.8 AA
AB Corporate Income Shares 0.0 0.0
AB Corporate Bond ETF 0.0 0.0
AB Core Plus Bond ETF 0.0 0.0
AB Core Opportunities Fund 33.9 8.5 AA
AB Conservative Buffer ETF 0.0 0.0
AB Concentrated International Growth 25.4 8.8 AAA
AB Concentrated Growth Fund 30.1 9.7 AAA
AB California Portfolio 0.0 0.0
AB Bond Inflation 17.4 6.0 A
AB Bond Fund, INC 0.0 0.0
AB Arizona Portfolio 0.0 0.0
AB All Market Total Return 99.5 7.5 AA
AB All Market Real Return Portfolio 0.0 0.0
AB All China Equity 164.7 3.6 BB
AB (HK) Unit Trust Series - Global High Yield Portfolio 0.0 0.0
AB (HK) Unit Trust Series - EM Multi-Asset Portfolio 0.0 0.0
AB (HK) Unit Trust Series - European Income Portfolio 0.0 0.0
AB (HK) Unit Trust Series - AB (HK) Asia Income Opportunities Portfolio 0.0 0.0
AB (HK) Unit Trust Series - AB (HK) All Market Income Portfolio 0.0 0.0
AB (HK) Unit Trust Series - AB (HK) Global Low Volatility Equity Portfolio 0.0 0.0
AB (HK) Unit Trust Series - American Income Portfolio 0.0 0.0
AAMA Income Fund 0.0 0.0
AAMA Equity Fund 0.0 7.8 AA
AAM Transformers ETF 0.0 0.0
AAM S&P 500 High Dividend Value ETF 0.0 0.0
AAM Low Duration Preferred and Income Securities ETF 0.0 0.0
AAM Fund - AAM Fund - OPAL II 102.4 5.9 A
AAF - Aegon Global Impact Equities 0.0 0.0
AAF - ABN AMRO Aegon Global Impact Equities 0.0 0.0
AAE Global Strategy Fund 100.5 7.4 AA
Aaapollo 11 Global 168.3 6.6 A
AAA Investment Partners Structured Investments Fund 0.0 0.0
AAA CLO ETF 0.0 0.0
AA SSgA Actions Indice Euro 0.0 0.0
AA SSgA Actions Euro 0.0 0.0
A.M.P. GREAT VALUE SICAV S.A. 0.0 6.0 A
A.IX Faktor Fonds 77.8 7.6 AA
A&M Experts Momentum World 154.2 5.1 BBB
A&G RENTA FIJA CORTO PLAZO 0.0 6.5 A
A&F Strategiedepot - Kapitalgewinn Multi Faktor Plus 196.5 7.2 AA
A Global Flexible P, SICAV 0.0 0.0
2065 Lifetime Blend Portfolio 0.0 0.0
2060 Lifetime Blend Portfolio 0.0 0.0
2055 Lifetime Blend Portfolio 0.0 0.0
2050 Preservation Blend Portfolio 0.0 0.0
2050 Lifetime Blend Portfolio 0.0 0.0
Companies (14025)
no companies found