

Responsible Investment Leaders are investment/asset managers that rank in the top 20% of all organisations assessed by the Responsible Investment Scorecard, demonstrating leading practice through their commitment to responsible investing; explicit consideration of ESG factors in investment decision-making; strong and collaborative stewardship; and transparency in reporting, including the societal and environmental outcomes achieved.


Responsible Investors are investment/asset managers that score at least 15 out of 20 on the Responsible Investment Scorecard (but are not within the top 20% of assessed organisations), with a commitment to responsible investing; explicit consideration of ESG factors in investment decision-making; strong and collaborative stewardship; and transparency in reporting, including the societal and environmental outcomes achieved.
The Claremont Global strategy is a quality, high-conviction global fund with a long-term focus. With funds under management of over $1bn and a global portfolio of 10-15 quality growth businesses, we invest in some of the world’s best businesses, following our disciplined and time-tested investment process. The Claremont Global strategy and rigorous research-backed approach retains a central focus on sustainable long-term company performance, naturally leading to investments in well-run business with strong management teams and a culture attuned to the long-term needs of all stakeholders – something we believe is largely unachievable, without serious consideration of ESG principles. As a dedicated team of global investment professionals, we draw on decades of industry experience to construct a resilient portfolio that can perform under a wide range of economic conditions. Claremont Global is also a signatory to the UN PRI and is supported by in-house ESG and sustainable investing expertise.