Key points
- A sustainable core allocation strategy — Characteristics of a core strategy with risk benefits in down markets.
- High conviction — Follows a research-driven, performance-oriented investment process reflected in a high active share, low turnover and asset selection as the single main contributor to active risk.
- Improved environmental footprint — Avoids the most polluting companies while not excluding entire industries. Generates a positive impact across GHG emissions, energy usage, water consumption and waste generation.
About this fund
Robeco Sustainable European Stars Equities is an actively managed fund that invests in equities of companies that are domiciled in Europe. The selection of these stocks is based on fundamental analysis. The fund's objective is to achieve a better return than the index. The strategy combines proprietary ESG research and analysis within a disciplined and proprietary investment framework to determine a company’s intrinsic value. Our rigorous valuation approach takes advantage of market mis-pricing, leading to a concentrated portfolio of attractively-valued, high quality stocks with a higher potential to outperform the Benchmark across environmental and financial metrics. An in-house Sustainability Investing (SI) research team integrates financially-material sector and company-specific sustainability analysis into investment cases.
Key facts
Total size of fund | EUR 548,725,377.36 |
Size of share class | EUR 182,784,607.10 |
Inception date share class | 1991-05-28 |
1-year performance | -0.23% |
Dividend paying | No |
Fund manager
- Mathias Büeler CFA
- Oliver Girakhou MBA