London CIV believe responsible investment is not only a moral imperative but an economic necessity.
Our vision is to be a best-in-class asset pool that delivers value for Londoners through long-term sustainable investment strategies. We are committed to protecting the interests of our clients and members by acknowledging that climate-related risks and broader environmental, social and governance (ESG) factors are a source of financial risk and opportunity.
London CIV is a signatory of the UN backed Principles for Responsible Investment (PRI) and aligns its processes to the six principles and definition of Responsible Investment. Our approach is informed by our investment beliefs, client policies and priorities, and industry best practice demonstrated by our peers together with regulation. This not only feeds into our policies but is integrated and implemented throughout the business.
In collaboration with all of our stakeholders we are working together to secure a sustainable future.
Our Approach
Our three-step strategy can be described using the following process. It is held to account by robust objectives and is underpinned by exemplar governance (strategic monitoring and accountability throughout the organisation).
London CIV TNFD Report 2025
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London CIV TCFD Report 2025
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London CIV TCFD Product Report 2025
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2023 Public Transparency Report for London CIV
Read our 2023 Public Transparency Report for London CIV
2023 PRI Scorecard for London CIV
Read our 2023 Scorecard here