Sustainable Investing

We are committed to reducing portfolio carbon emissions to net zero by 2050 in-line with the Paris Agreement. We offer strategies with different risk profiles set against a global investment universe. Like all our offerings, their genesis lies in our client partnerships, and we have developed strategies to suit growing client requirements for more sustainably focused solutions that seek to address climate change, with ESG and climate risk at their core.

Our Advantage

  • Climate Risk at the Core – investment solutions focused on net zero alignment and we strive to engage with issuers on net zero trajectories
  • Strong Engagement with Issuers and Investors – we seek to carry out constructive dialogue with companies on their main ESG challenges and share potential solutions
  • Deep Integration of ESG Analysis – our investment decisions are based on objective facts to help optimise financial and non-financial outcomes


Capital at risk. The value of investments and the income from them may fall as well as rise and is not guaranteed. Investors may not get back the full amount invested. Past performance is not an indication of current or future performance.

“Engaging in ESG helps us manage downside risk, drive positive change and encourage corporate transparency on material ESG issues”

Ian Horn, Portfolio Manager

Photo of Ian Horn, Portfolio Manager



May 10, 2023

Muzinich Asset Allocation Group Monthly Update - May 2023

Please click to view our latest Asset Allocation Group video update for the month of May 2023.


Apr 12, 2023

A Tale of Two Banks

In the space of a few weeks two iconic symbols of finance self-destructed.


Feb 22, 2023

Top Three Credit Themes for 2023

In what is shaping up to be a very different investment environment to 2022, three key themes are underpinning our multi-asset credit strategies.

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