Pax World Management

Pax World’s sustainable investing approach integrates rigorous financial analysis with proprietary environmental, social and governance (ESG) analysis to identify better-managed companies that meet positive corporate responsibility standards, have a clear vision for managing risk, and are focused on delivering long-term value to shareholders. They seek a fair return as well as positive social and environmental impact. 

Pax World Management believes ESG factors have financial impact on corporate performance and integrating these factors into portfolio management can mitigate risk and add value to an investment portfolio. In their view, sustainable investing is simply a better, smarter way to invest.



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