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What is the end date of the 12-month period you have chosen to report for PRI reporting purposes?
1 Jan 2025 / 31 Dec 2025
8 Jul 2027
During the reporting year, was your organisation exclusively in the fundraising process and unable to report an assets under management (AUM) figure?
1 Jan 2025 / 31 Dec 2025
8 Jul 2027
What are your total assets under management (AUM) at the end of the reporting year? Provide the amount in USD.
1 Jan 2025 / 31 Dec 2025
8 Jul 2027
Provide a percentage breakdown of your total AUM at the end of the reporting year.
1 Jan 2025 / 31 Dec 2025
8 Jul 2027
Provide a further breakdown of your organisation's listed equity and/or fixed income AUM.
1 Jan 2025 / 31 Dec 2025
8 Jul 2027
Indicate if your organisation's externally managed AUM was in segregated mandates and/or pooled funds or investments.
1 Jan 2025 / 31 Dec 2025
8 Jul 2027
Indicate if your organisation held any investments in hedge funds or undertook hedge fund investment strategies during the reporting year.
1 Jan 2025 / 31 Dec 2025
8 Jul 2027
Indicate which asset classes are mandatory or voluntary for you to report on in asset class-specific indicators.
1 Jan 2025 / 31 Dec 2025
8 Jul 2027
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