Limestone has signed the UN's Principles of Responsible Investment. The investment philosophy is based on ESG principles: companies involved in the production of alcohol, tobacco, weapon manufacturing and gambling are excluded. Inclusion criteria are determined by an external partner: GES Investment Services
| Type |
Category |
Label |
Control |
Launch date |
RFA Ethical grade |
| Shares |
Best in Class |
|
External |
31.07.2008 |
0 |
| Distributor |
| Information non renseignée |
| Custodian |
| KBL European Private Bankers S.A. (LU) |
| ISIN |
Description |
Type of income |
Total Net Assets |
Last Check |
| LU0373664472 |
|
CAP |
0 EUR |
15.12.2008 |
Some savings or investment products do not meet all of Ethibel's criteria. They can comply with other SRI requirements determined by the manager himself.
| Type |
Category |
Label |
Control |
Launch date |
RFA Ethical grade |
| Shares or bonds |
Ethibel |
Ethibel |
External |
21.03.2002 |
0 |
| Custodian |
| Information non renseignée |
| ISIN |
Description |
Type of income |
Total Net Assets |
Last Check |
| LU0065742891 |
Strategy Prudent SRI |
DIS |
0 EUR |
15.12.2008 |
| LU0065743279 |
Strategy Prudent SRI |
CAP |
36 EUR |
15.12.2008 |
| LU0065744160 |
Strategy Balanced SRI |
DIS |
0 EUR |
15.12.2008 |
| LU0065744830 |
Strategy Balanced SRI |
CAP |
35 EUR |
15.12.2008 |
| LU0065745480 |
Strategy Growth SRI |
DIS |
0 EUR |
15.12.2008 |
| LU0065745720 |
Strategy Growth SRI |
CAP |
14 EUR |
15.12.2008 |
| LU0065754805 |
Strategy Dynamic SRI |
Cap |
3 EUR |
15.12.2008 |
| LU0144966537 |
Strategy Dynamic SRI |
DIS |
0 EUR |
15.12.2008 |
| LU0144966966 |
Income SRI |
DIS |
0 EUR |
15.12.2008 |
| LU0144967006 |
Income SRI B |
CAP |
8 EUR |
15.12.2008 |
Parvest Euro Corporate Bond Sustainable Development invests in corporate bonds of the euro area. The assets are broken down in bonds that are issued by companies whose commitment and practice in terms of sustainable development are guided by ESG requirements. (Source: Novethic
| Type |
Category |
Label |
Control |
Launch date |
RFA Ethical grade |
| Bonds |
Best in Class |
|
Internal |
01.01.1970 |
0 |
| Distributor |
| BNP PARIBAS Asset Management Lux S.A. (LU) 10 a, Boulevard Royal L-2093 Luxembourg Phone: +352 46 47 1 Fax: +352 46 46 90 00 Web:
www.bnpparibas.lu
|
| Custodian |
| BNP PARIBAS Securities Services (LU) |
| ISIN |
Description |
Type of income |
Total Net Assets |
Last Check |
| LU0265276948 |
M |
CAP |
0 EUR |
15.12.2008 |
| LU0265287804 |
|
CAP |
0 EUR |
15.12.2008 |
| LU0265288018 |
I |
CAP |
0 EUR |
15.12.2008 |
| LU0265288018 |
|
DIS |
0 EUR |
15.12.2008 |
| LU0265288018 |
I |
CAP |
0 EUR |
15.12.2008 |
| LU0265288018 |
|
DIS |
0 EUR |
15.12.2008 |
| LU0265288521 |
L |
CAP |
0 EUR |
15.12.2008 |
| LU0265307842 |
P |
CAP |
0 EUR |
15.12.2008 |
Parvest Europe Sustainable Development invests in shares from major European Companies. The assets are broken down in shares that are issued by companies whose commitment and practice in terms of sustainable development are guided by ESG requirements.
Any company that does not observe the principles of the UN’s Global Compact Initiative is excluded (Source: Novethic)
| Type |
Category |
Label |
Control |
Launch date |
RFA Ethical grade |
| Shares |
Best in Class |
|
|
01.01.1970 |
0 |
| Distributor |
| BNP PARIBAS Asset Management Lux S.A. (LU) 10 a, Boulevard Royal L-2093 Luxembourg Phone: +352 46 47 1 Fax: +352 46 46 90 00 Web:
www.bnpparibas.lu
|
| Custodian |
| BNP PARIBAS Securities Services (LU) |
| ISIN |
Description |
Type of income |
Total Net Assets |
Last Check |
| LU0212187156 |
M |
CAP |
0 EUR |
15.12.2008 |
| LU0212187404 |
P |
CAP |
0 EUR |
15.12.2008 |
| LU0212188121 |
L |
CAP |
0 EUR |
15.12.2008 |
| LU0212188550 |
I |
CAP |
1 EUR |
15.12.2008 |
| LU0212189012 |
|
CAP |
25 EUR |
15.12.2008 |
| LU0212189368 |
|
DIS |
0 EUR |
15.12.2008 |
The fund invests mainly in shares of companies involved in the environment, the industries of alternative energies, energy saving processes, water processing and sanitization, pollution control, waste management and recycling; the fund also invests in securities whose underlying assets are issued by companies involved in the same processes
| Type |
Category |
Label |
Control |
Launch date |
RFA Ethical grade |
| Shares |
Thématique |
|
|
30.05.2006 |
0 |
| Distributor |
| BNP PARIBAS Asset Management Lux S.A. (LU) 10 a, Boulevard Royal L-2093 Luxembourg Phone: +352 46 47 1 Fax: +352 46 46 90 00 Web:
www.bnpparibas.lu
|
| Custodian |
| BNP PARIBAS Securities Services (LU) |
| ISIN |
Description |
Type of income |
Total Net Assets |
Last Check |
| LU0256119859 |
|
CAP |
117 eur |
15.12.2008 |