
2025 Responsible Investment Framework & Strategy
We’ve published our 2025 Responsible Investment Framework & Strategy, which explains how we manage members’ pension savings with long-term value and sustainability in mind. It sets out how we take environmental, social and governance (ESG) issues into account when making investment decisions.
We look at the bigger picture, including climate change, inequality, and how companies are run because these factors can affect performance over time. We work closely with fund managers, companies, and wider industry participants to improve standards and tackle problems. Rather than walking away from difficult issues or sectors, we aim to influence from within. we take a measured approach, based on evidence and financial risk.
We hold our partners to account, track progress, and report openly. We’ve also made clear commitments to invest in businesses that support growth in the Midlands, and to diversity and inclusion across the organisations we work with.
Our aim is to protect members interests, to help shape a stronger, more responsible investment industry and create sustainable futures for all our members. This framework is a key part of that commitment.
For more information, please view our Responsible Investment Framework & Strategy.