Aviva Investors has taken a progressive approach to incorporating environmental, social and governance (ESG) issues into investment analysis and decision-making across its full range of assets.

Our aim is to use this insight to deliver improved outcomes for our investors. The Global Responsible Investment (GRI) Team at Aviva Investors was formed in 2012 with the explicit aim of integrating ESG considerations into our investment decisions.

We have developed tailored responsible investment policies for each asset class. This now covers 90% of our assets under management and our internal network of over 30 Responsible Investment Officers (RIOs) means that we have experienced ambassadors for responsible investment positioned right across our business.

Additional details can be foundin our 2017 Annual Review.