Responsible investment approach
At Maj Invest, we aim to create long-term value for our stakeholders. In this regard, we believe that ESG factors are crucial and are committed to integrating them into our investment criteria.
With various investment strategies, we recognize the importance of employing different ESG approaches tailored to different investment goals.
At Maj Invest Asset Management, we utilize four ESG approaches: ESG exclusions, ESG integration, ESG thematic, and ESG impact.
Our Core Foundation
We invest with respect to international standards within human rights, the environment, anti-corruption and corporate governance. Furthermore, we apply fund-specific exclusion lists. Refer to our Responsible Investment Policy for more information.