Responsible investment funds for companies
Find the best responsible investment fund for your company and seek growth in your capital.Find the best responsible investment fund for your company
You can choose from 20 responsible investment funds, including sustainability-themed funds, index funds and real property funds.
Seek returns responsibly
By investing in responsible funds, you can seek returns while investing sustainability.
Find a suitable responsible investment fund for your company
Find the funds that best fit your company’s responsible investment principles from our wide range of alternatives: all our responsible investment funds promote ESG factors (take account of environmental, social and governance issues). We also have funds that exclude a very wide range of controversial sectors.
Some of our sustainability-themed funds enable investment that helps to solve problems. By investing in a responsible investment fund, you can finance companies whose products and services help to counter environmental and social threats (such as climate change and humanitarian crises) globally. For example, OP-Climate and OP-Clean Water funds highlight investment in products and services that play a major role in resolving a range of threats.
Sustainability-themed index funds
Investing in an index fund is also a responsible choice. Most of our index funds track the MSCI ESG Universal benchmark index, which places greater weight on companies with a better ESG profile. These funds promote environmental and social characteristics by means of exclusion lists and by placing greater weight on companies with a better ESG profile.
Sustainability-themed real property funds
Real property funds offer responsible investors a good range of options for diversifying their investments. Responsible housing, real estate and forest funds are a great way of diversifying into other asset classes, since their value performance is largely uncorrelated with the equity market.
This is an advertisement. The funds are managed by OP Fund Management Company Ltd. The portfolio manager is the portfolio management company specified in the fund prospectus for OP funds. Investments always involve risks. The value of investments can rise and fall, and the investor may lose part of or all the invested funds. Past performance is no guarantee of potential future yield. The larger the fund’s expenses, the greater the impact on the expected return on the investment. Any yield also depends on taxation, which in turn varies depending on the investor’s personal circumstances and is subject to future changes. If the fund is marketed outside Finland, OP Fund Management Company Ltd may decide to end such marketing. The information presented on this page does not fully describe all the fund’s characteristics.
Before making an investment decision, take all the characteristics or objectives of the fund into consideration, as described in the fund prospectus for OP funds and other documents related to the fund. Only make your final investment decision after reading the fund prospectus for OP funds and the key investor information document and rules of the fund. These documents can be found on the web page of the respective fund. The fund prospectus and the summary of investors’ rights in mutual funds are available at op.fi in Finnish, Swedish and English.