Pekada Vega ESG Ranked Portfolio monthly update

 

The Pekada Vega – ESG Ranked Model (the Model) is a growth portfolio with a strategic asset allocation of 100% exposure to growth assets. It is built and monitored using deep fundamental research on both asset allocation and fund manager selection. The portfolio applies its environmental, social and governance (ESG) investment strategy and process to underlying investment selection. Where possible the model manager selects investments that score in the top 50% as measured by the ERIG pillars.

For more information about the portfolio including underlying assets, current positioning and rebates please view the monthly report.