Formalising our Responsible Investment Strategy

In 2022, Grosvenor Diversified Property Investments developed its formalised approach to responsible investment. The Responsible Investment Strategy outlines our approach and articulates the standards we expect of ourselves and the network with which we engage.

The strategy is split into three categories, representing common areas of influence for the business, including:

  • Policy and strategy
  • Governance, knowledge and resourcing
  • Asset management

Our approach is embedded into our day-to-day business operations and helps us to be consistent with industry best-practice related to ESG matters. Within our partner network, we believe our strategy can instigate long-term positive, practical and behavioural changes to deliver social and environmental benefit.

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