SRI funds in Luxembourg

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LIMESTONE NEW EUROPE SOCIALLY RESPONSIBLE FUND

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
Promoter
Limestone Investment Management (ET)

Väike-Karja 12, Tallinn 10140, Estonia
Phone: +37 27 12 08 01
Fax: +37 26 28 23 70
Email: info@limestonefunds.eu
Web: www.limestonefunds.eu

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

LUX INTERNATIONAL STRATEGY

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
Promoter
Crédit Agricole Luxembourg (LU)

39, allée Scheffer L-2520 Luxembourg
Phone: +352 47 671
Email: marketing@ca-luxembourg.com
Web: www.e-private.com

Distributor
Crédit Agricole Luxembourg (LU)

39, allée Scheffer L-2520 Luxembourg
Phone: +352 47 671
Email: marketing@ca-luxembourg.com
Web: www.e-private.com

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 SICAV EURO BOND SUSTAINABLE DEVELOPMENT

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
Promoter
BNP PARIBAS S.A. (FR)

16 boulevard des Italiens F-75009 Paris
Web: www.bnpparibas-am.fr

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 SICAV EUROPE SUSTAINABLE DEVELOPMENT

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
Promoter
BNP PARIBAS S.A. (FR)

16 boulevard des Italiens F-75009 Paris
Web: www.bnpparibas-am.fr

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

PARWORLD ENVIRONMENTAL OPPORTUNITIES CAP

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
Promoter
BNP PARIBAS S.A. (FR)

16 boulevard des Italiens F-75009 Paris
Web: www.bnpparibas-am.fr

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
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