Responsible investing is an important priority for UBC, and the Responsible Investment Policy commits the university to incorporating environmental, social, and governance (ESG) factors into its investments choices.
This means that UBC will ensure its fund managers incorporate these factors in the management of their portfolios. The policy also outlines options to engage with companies or industries that are of concern to the UBC community, while maintaining the university’s obligation to its donors.
As the investment manager for UBC-related funds, UBC Investment Management prioritizes the university’s commitment to responsible investing, and more information about UBC Investment Management's approach to Responsible Investing is available on the UBC Investment Management website.
Please note that UBC’s public equities holdings, overseen through UBC Investment Management, are also publicly available on the UBC Investment Management website. This information is updated every six months.