BNP Paribas Immobilier ISR Privilege C
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General Objective
The fund aims to achieve a higher performance than the "FTSE EPRA NAREIT Developed Europe (NR)" index with reinvested net dividends over a minimum investment horizon of 5 years. It focuses on investing in securities of issuers that consider criteria related to social and environmental responsibility and sustainable development in their business activities. The fund is managed according to a socially responsible investment strategy (ISR).
Fund Exposure
The fund's investment strategy is based on active management through a disciplined approach to selecting securities from the real estate sector, combining financial and non-financial analysis in an investment universe larger than that of the reference index. The fund follows a socially responsible investment strategy (ISR) by excluding companies that strongly and demonstrably contradict ESG criteria and preferring real estate companies with the best environmental practices.
Risks
Some of the risks associated with this fund include market risk, issuer risk, and environmental, social, and governance (ESG) risk. Market risk refers to the potential fluctuations in the value of investments due to market conditions. Issuer risk relates to the possibility of financial loss if an issuer of securities held by the fund defaults. ESG risk involves the impact of environmental, social, and governance factors on the performance of the fund's investments.