

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.
Magellan Asset Management (‘Magellan’) is a specialist funds management business based in Sydney and formed in 2006 to generate attractive returns for clients by investing in global equities and global listed infrastructure while protecting their capital. At Magellan, successful investing is about finding high quality businesses and owning for the long term, companies that can generate excess returns on capital for years to come. Magellan’s team of highly regarded and experienced investment professionals manage global equity, global listed infrastructure, global sustainable and Australian equities strategies (under the Airlie Funds Management brand) for clients in Australia and overseas. Magellan is a wholly owned subsidiary of Magellan Financial Group which is listed on the ASX (MFG).
We, the Responsible Investment Association Australasia, don't earn any commission from providers or products you switch to.
Organisation
Company number
120593946
Services offered
Certified products
Approved products