Disclaimer: The winners of The Asset Triple A Awards are welcome to translate the awards’ names in their native language.
We are happy to provide Chinese translation upon request, and we reserve the right to have the final say for any Chinese translation of the awards’ names. For clarity, please refer to our website in English.

The Asset Triple A
Sustainable Investing Awards
for Institutional Investor, ETF, and Asset Servicing Providers 2023
Fund Management and Investors Awards
ESG Asset Management Company of the Year
Asia
Winner-Overall

Highly Commended

Institutional

Retail

China
Winner
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Highly Commended

Taiwan

ESG Fund Manager of the Year

Dhananjay Phadnis
Fidelity Funds - Sustainable Asia Equity Fund
Fidelity International
Fidelity Funds - Sustainable Asia Equity Fund
Fidelity International
Investor of the Year
Asia
Pension Fund of the Year

Taiwan
ROC Private School Pension Fund Management Committee
FUND MANAGER OF THE YEAR
China
Offshore Equity
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Nitin Bajaj
and
and
Alice Li
Fidelity Funds - China Focus Fund
Fidelity International
Fidelity Funds - China Focus Fund
Fidelity International
EDITORS' TRIPLE STAR
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BNP Paribas Asset Management’s Sustainable Asian Cities Bond Strategy aims to capture the growing greenium against the continued strong urbanization trend in Asia. The investment process consists of four major processes of Sustainability Centre inputs, list of potential bonds, macro positioning, as well as the last step of credit selection, portfolio construction and risk management.
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Robeco launched its Sustainable Investing Open Access Initiative to share its extensive SDG Framework with clients and other third parties to promote and encourage research, data, and information by offering free insights into individual company SDG scores. Launched in 2022, this is an important step in making SDG scores and methodology open for clients and academics to facilitate standard setting and thought leadership that is needed in the industry.
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CICC Asset Management
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As a UNPRI signatory, CICC Asset Management adopts four methods to implement responsible investments, namely ESG integration, thematic investing, screening, and active engagement. It has developed an inhouse ESG evaluation methodology covering various asset classes including equity and fixed income, and has embedded ESG rating in the research, investment and risk control processes. Its ESG rating system for bond issuers has been widely recognized by domestic market.