Sustainable Investment Funds

Morningstar defines a strategy as a “Sustainable Investment” if it is described as focusing on sustainability, impact, or environmental, social, and governance (ESG) factors in its prospectus or other regulatory filings. This classification does not measure how Morningstar rates the effectiveness of the fund’s sustainable strategy. Instead, it reflects the fund’s stated objectives.

Use this screener tool to find funds that meet your ESG criteria.

Fund Name
Morningstar Category
Sustainable Investment
Sustainability Rating
Low Carbon Designation
Representative Cost
Morningstar Rating for Funds
AZ Fund 3 MENA Equity A USD Acc Africa & Middle East Equity No 2.40
Phillip Global Rising Yield Innovators Fund Class A Sector Equity Technology No 2.09
Phillip Global Rising Yield Innovators Fund Class B Sector Equity Technology No 1.84
Amundi-OCBC Momentum Fund AHA D Other Allocation No 1.24
Amundi-OCBC Momentum Fund AHU D Other Allocation No 1.24
Allianz Global Investors Fund - Allianz Income and Growth AT (HKD) USD Moderate Allocation No No 1.55
Amundi-OCBC Momentum Fund AS D Other Allocation No 1.24
FTGF Brandywine Global Income Optimiser Fund Class A SGD Distributing (M) Plus Global Flexible Bond No 1.37
Allianz Global Investors Fund - Allianz Income and Growth BM (USD) USD Moderate Allocation No No 2.15
Allianz Global Investors Fund - Allianz Income and Growth BMg7 (USD) USD Moderate Allocation No No 2.15
Allianz Global Investors Fund - Allianz Income and Growth BT (USD) USD Moderate Allocation No No 2.15
Capital Group European Growth and Income Fund (LUX) Cgd Europe Large-Cap Blend Equity No No 0.20
Capital Group Global High Income Opportunities (LUX) Cgd Global Flexible Bond No 0.10
Goldman Sachs Global Multi-Asset Income Portfolio Other Currency SGD Hedged (Stable MDist) Other Allocation No 1.48
AB SICAV I - China Multi-Asset Portfolio A USD Greater China Allocation No No 1.86
AB SICAV I - China Multi-Asset Portfolio AD USD Greater China Allocation No No 1.86
AB SICAV I - China Multi-Asset Portfolio I USD Greater China Allocation No No 1.06
AB SICAV I - China Multi-Asset Portfolio A CNH Greater China Allocation No No 1.86
AB SICAV I - China Multi-Asset Portfolio AD CNH Greater China Allocation No No 1.86
AB SICAV I - China Multi-Asset Portfolio I GBP Greater China Allocation No No 1.06
© Copyright 2025 Morningstar Asia Ltd. All rights reserved.

Terms of Use        Privacy Policy        Disclosures