Solaris Investment Management is a style neutral, Australian Equities funds manager with a tried and tested investment process proven to achieve consistent top quartile performance for over one and half decades. The team comprises 10 experienced investment professionals with an average investment experience of 15 years. As a mainstream funds manager, the core belief driving our decision to include ESG analysis in our investment process is that companies cognisant of ESG issues may represent opportunities for outperformance and correspondingly those that do not could experience underperformance. ESG issues are considered during both our initial Risk Screening stage and as 1 of the 6 qualitative factors used to value companies.

