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Kbc Eco Fund - Water Responsible Investing Classic Dis (0P00000NB0)

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1,608.250 -8.530    -0.53%
19/12 - Closed. Currency in EUR
  • Morningstar Rating:
  • Total Assets: 284.58M
Type:  Fund
Market:  Belgium
Issuer:  KBC Asset Management N.V.
ISIN:  BE0175478057 
Asset Class:  Equity
KBC Eco Fund - Water Dis 1,608.250 -8.530 -0.53%

0P00000NB0 Overview

 
On this page you'll find an in-depth profile of Kbc Eco Fund - Water Responsible Investing Classic Dis. Learn about the key management, total assets, investment strategy and contact information of 0P00000NB0 among other information.
Category

Sector Equity Water

Total Assets

284.58M

Expenses

Inception Date

Oct 23, 2000

Investment Strategy

The investment philosophy of the sub-fund is based on the concept of impact investing (mission-related investments). The sustainable investment objective is to contribute to sustainable development. To this end, the assets are invested to the maximum extent possible, in equities of companies throughout the world which seek not only to achieve a financial return, but also to make a positive contribution, through their products and/or services, to sustainable themes and thus have an impact on society and the environment.

Contact Information

Address Havenlaan 2
Bruxelles, 1080
Belgium
Phone -

Top Executives

Name Title Since Until
Sebrechts Dirk - 2020 Now
Anthony Sandra - 2020 Now
Jens Peers Co-Portfolio Manager 2000 Now
Biography Jens Peers has been part of Mirova/Ostrum AM since 2013. Previously head of environmental equities at Kleinwort Benson Investors, Jens Peers is a thematic investment expert with 25 years of experience. At Kleinwort, he developed and managed several thematic strategies (demographic and environmental), including water, agribusiness, and clean tech. Jens joined Mirova in 2013 as CIO Sustainable Equities, and has been portfolio manager on the Global Sustainable Equity strategy since its launch in 2013. Jens has considerable international experience and has extensive knowledge of consultants’ and clients’ needs. He is a frequent speaker at international conferences on environmental, water, and agricultural themes. Jens holds a master’s degree in applied economics from the University of Antwerp, Belgium. He is also a CFA® charterholder and is a certified CEFA (Certified European Financial Analyst of the BVFA/ABAF – Belgian Association of Financial Analysts).
Craig Bonthron Portfolio Manager 2000 2010
Biography Craig Bonthron is an investment manager in the Equities team, responsible for actively co-managing high conviction global equities portfolios. He focuses on analysing disruptive and sustainable investment trends within the technology, healthcare, industrial and consumer sectors in order to identify high conviction stock specific investment ideas. He joined us in 2014 from SWIP, where he was an investment director in global equities. Prior to SWIP, he was a portfolio manager at Kleinwort Benson Investors. Craig has a 1st Class honours degree in Building Surveying and an MSc with Distinction in Business Information Technology Systems from Strathclyde Business School.
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