Sustainable Investment Funds

Morningstar defines a strategy as a “Sustainable Investment” if it is described as focusing on sustainability, impact, or environmental, social, and governance (ESG) factors in its prospectus or other regulatory filings. This classification does not measure how Morningstar rates the effectiveness of the fund’s sustainable strategy. Instead, it reflects the fund’s stated objectives.

Use this screener tool to find funds that meet your ESG criteria.

Fund Name
Morningstar Category
Sustainable Investment
Sustainability Rating
Low Carbon
Ongoing Charges %
Morningstar Rating for Funds
WS Prudential Risk Managed Passive Fund 4 A Income GBP Allocation 60-80% Equity No No 0.52
Goldman Sachs Global Absolute Return Portfolio R Inc GBP-Hedged Macro Trading GBP No Yes 0.86
Cullen Emerging Markets High Dividend Fund Class A1 USD Retail Distributing Global Emerging Markets Equity No No 1.75
WS Prudential Risk Managed Passive Fund 5 R Accumulation GBP Allocation 80%+ Equity No No 0.57
Legal & General Mixed Investment Income 20-60% Fund C Class Distribution GBP Allocation 40-60% Equity No No 0.36
Cullen Emerging Markets High Dividend Fund Class I1 GBP (Unhedged) Institutional Distributing Global Emerging Markets Equity No No 1
Cullen Emerging Markets High Dividend Fund Class I1 USD Institutional Distributing Global Emerging Markets Equity No No 1
Goldman Sachs Global Absolute Return Portfolio IO Acc USD Macro Trading USD No Yes 0.22
UBS (Lux) Bond Fund - Convert Europe (EUR) (CHF hedged) Q Acc Convertible Bond - Other No 1.02
SSGA Lux SICAV - State Street Global Emerging Markets Screened Index Equity Fund I USD Global Emerging Markets Equity No No 0.4
Goldman Sachs Global Absolute Return Portfolio R Acc EUR-Hedged Macro Trading EUR No Yes 0.86
Cullen Emerging Markets High Dividend Fund Class A2 USD Retail Accumulating Global Emerging Markets Equity No No 1.75
Vontobel Fund - TwentyFour Absolute Return Credit Fund AI GBP GBP Corporate Bond - Short Term No No 0.51
UBS (Lux) Key Selection SICAV - Global Allocation (CHF) Q-acc CHF Aggressive Allocation No No 1.12
Tokio Marine Japanese Equity Focus Fund L USD Hedged Other Equity No Yes 0.85
Legal & General Mixed Investment Income 20-60% Fund D Class Distribution GBP Allocation 40-60% Equity No No 0.96
Quilter Investors Europe (ex UK) Equity Fund A (USD) Accumulation Europe ex-UK Equity No No 1.65
Vontobel Fund - TwentyFour Absolute Return Credit Fund N GBP GBP Corporate Bond - Short Term No No 0.55
Legal & General Multi-Index Income 5 Fund I Class Distribution GBP Allocation 40-60% Equity No No 0.31
abrdn Global Focused Equity Fund Retail Income Global Large-Cap Growth Equity No Yes 1.36
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