Whether you are focused on environmental protection, gender equality or other causes, let us work with you to align your investment strategy with your values and financial goals.
To help you build and manage your sustainable investing portfolio, we guide you through a systematic process of:
Understanding the latest investment trends and the different ways you can invest sustainably.
Identifying approaches that best align with your investment and sustainable preferences.
Curating a portfolio based off your investment goals and your risk and return expectations.
Reviewing your portfolio regularly with you to ensure your investment strategy is aligned with your goals.
At Bank of Singapore, we integrate environmental, social and governance (ESG) analysis into our approach and evaluation of investment opportunities.
Looking through an ESG lens is one of the strongest ways to help determine the viability of long-term returns of an investment.
We take a forward-looking and transition-based approach that takes not just the current and past ESG profile of an investment opportunity, but our assessment of its future trajectory.
This component requires research and analysis of a variety of factors that relates to a company’s positive and negative impact on the environment, such as its energy and water use, carbon emission, waste, pollution and natural resource conservation.
This looks at how a company may impact society and encompasses people-related factors such as employee engagement, corporate social responsibility, diversity and inclusion as well as labour standards.
This component looks at how corporate governance aspects such as how the business relates to different stakeholders (not just shareholders) and how it is run. Areas of analyses include transparent accounting methods, business ethics, shareholder rights and executive compensation.