A standalone Responsible Investment Policy is developed and embedded. Baseline: non-financial risk factors considered in some decisions (for example exclusions), a high-level strategy for key areas of the portfolio and work underway to gather ESG exposure data. Higher levels add targeted ESG integration, assessment of external managers' ESG practice, greenhouse gas monitoring (scopes 1, 2 and/or 3), use in mandates, and signatory status to initiatives such as UN PRI.
The graph holds this control, the 0 it maps to, and the evidence behind each claim, over MCP and REST.