Mirova (Natixis)
Unverified XFID Unique Identifier for Mirova (Natixis):
XOJ0128RCR 8 Investor Frameworks
Documents (8)
| XFID | Type | Title | Year | Source | Retrieved |
|---|---|---|---|---|---|
| XF-3LF97O2-Q | Investor Framework | Mirova for Climate Net Zero Roadmap (November 2021) | 2021 | www.mirova.com | 3 Apr 2026 |
| XF-O4OF8S5-Z | Investor Framework | Mirova Climate Contribution Framework (November 2025) | 2025 | www.mirova.com | 3 Apr 2026 |
| XF-44YBX9O-P | Investor Framework | Mirova Engagement Report 2024 | 2024 | www.mirova.com | 3 Apr 2026 |
| XF-LFFV26R-M | Investor Framework | Mirova 2025 PRI Transparency Report | 2025 | www.mirova.com | 3 Apr 2026 |
| XF-0UW5GQF-I | Investor Framework | Mirova 2024 Stewardship Report | 2024 | www.mirova.com | 3 Apr 2026 |
| XF-BSXLK1Y-T | Investor Framework | Mirova Natural Capital ESG Principles and Policy | 2025 | www.mirova.com | 3 Apr 2026 |
| XF-V0FCU59-H | Investor Framework | Mirova Our Approach to Impact & ESG Assessment (October 2025) | 2025 | www.mirova.com | 3 Apr 2026 |
| XF-GYG5Y6Y-V | Investor Framework | Mirova Responsible Investor Report 2019 | 2019 | www.mirova.com | 3 Apr 2026 |
XF Company Profile
Extra-financial information found across 8 documents in the XframeworkID registry
NACE K Financial & Insurance Activities
Information extracted from documents in the registry. Values are as disclosed; this is not an assessment or rating. Last updated 2 Jun 2026.
Issuer Identity & Structure
- Issuer name and country/jurisdiction
- Mirova (Natixis), France INVESTOR_FRAMEWORK 2024
- Issuer sector/industry classification
- Financial & Insurance Activities INVESTOR_FRAMEWORK 2024
- Issuer type
- Asset manager INVESTOR_FRAMEWORK 2024
Corporate Strategy & Mission
- Corporate mission and sustainability strategy
- Develop innovative investment solutions to accelerate transformation of the economy towards a sustainable model; sustainable investing with over 30 years of experience INVESTOR_FRAMEWORK 2024
- Corporate purpose statement relating to sustainability
- Sustainable development is a condition for long-term growth benefiting all stakeholders and is at the cornerstone of Mirova's investment philosophy INVESTOR_FRAMEWORK 2024
- ESG strategy focus areas
- Environmental and social impacts assessment; climate action and net zero transition; sustainable investment solutions across multiple asset classes; natural capital conservation; energy transition infrastructure INVESTOR_FRAMEWORK
ESG Framework & Governance
- ESG integration framework and methodology
- Extensive analysis of environmental and social impacts; all positions result from comprehensive impact assessment; exclusion approach based on impact analysis rather than sector-wide principle exclusions INVESTOR_FRAMEWORK 2025
Investor & Stewardship Context
- Sustainability risk integration in investment processes
- Analysis of sustainability opportunities and risks to provide clients with consistent medium and long-term financial performance aligned with positive environmental and social impacts INVESTOR_FRAMEWORK 2024
- Engagement with investee companies
- Dialogue with companies and policy makers to help develop more sustainable practices INVESTOR_FRAMEWORK 2024
- Asset stewardship approach
- PRI signatory with responsible investment activities reported annually; stewardship focused on dialogue and engagement to support sustainable practices development INVESTOR_FRAMEWORK 2024
Standards & Regulatory Alignment
- Alignment with UN Sustainable Development Goals
- Activities financed address major global environmental challenges including climate change, landscape and resource protection; positive environmental and social impacts aligned with sustainable development INVESTOR_FRAMEWORK
- Alignment with EU Taxonomy for sustainable activities
- Compliance with internationally recognised performance standards and certifications expected from financed activities INVESTOR_FRAMEWORK
Green / Sustainable Finance Framework
- Sustainable finance taxonomy used
- Climate Contribution Framework (CCF) - a unified and scientific methodology to measure and value all company contributions to achieving global net zero INVESTOR_FRAMEWORK 2025
Impact Metrics & Reporting
- Annual impact reporting commitment
- Annual impact reports published as part of responsible investment practices; PRI Transparency Reports produced annually INVESTOR_FRAMEWORK 2025
- Impact reporting methodology
- PRI framework for responsible investment reporting; comprehensive assessment of environmental and social impacts; dialogue and engagement outcomes documented INVESTOR_FRAMEWORK 2025
Sustainability & Climate Commitments
- Net zero target year
- Net zero alignment strategy with focus on multiple approaches to climate action INVESTOR_FRAMEWORK 2021