Global Low Carbon Equity Strategy

Russell Investments’ Global Low Carbon Equity Strategy aims to pursue the risk and return characteristics of the MSCI World Index, while reducing carbon exposure and improving Environmental, Social and Governance (ESG) characteristics.

DECARBONISATION

Moving beyond divestments and identifying opportunities.

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pin wheel

Investor benefits

Adaptable

Investors benefit from our ongoing strategy research – as low carbon investing evolves, so will the Strategy.

Robust

A carefully considered and robust strategy with a proven track record for lower carbon and low tracking error.

Structured

Full accountability as we manage everything in house from research to portfolio management and trading.

Resources







How climate change can impact investments

With multiple future scenarios as to how climate change may play out, there are also multiple potential consequences in store for investments.

Read blog post







Decarbonisation 2.0

A sustainable investing solution for the energy transition. Find out more.

View the paper







ESG Survey

Understand more about how asset managers are integrating ESG considerations in their portfolios with our annual ESG survey.


View the survey

Ready to take the next step? We're here to help.

For questions, contact Martijn:

Martijn
Kuipers
 
/ MANAGING DIRECTOR
NORTHERN EUROPE

Martijn Kuipers

+31 20 56743 13

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Potential investors in Emerging Markets should be aware that investment in these markets can involve a higher degree of risk.

Applications for shares in the fund are subject to the terms and conditions set out in the fund’s prospectus, Key Investor Information Document (KIID), memorandum and articles of association. Investors and potential investors are advised to read these documents (and in particular the risk warnings), as well as the further information contained in the annual and half-yearly reports before making an investment.

Please refer to the prospectus of the relevant [UCITS or AIF or EuSEF or EuVECA] and/or Information document of the relevant [AIF/EuSEF/EuVECA], and (where relevant) to the [KIID/KID] before making any final investment decisions.