Due to the asset class, style, or other characteristic of this fund we have not yet assessed it. Please reach out to us with any questions.
Peer rank
Overall impact
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Advocacy data
Responsible governance
F(20.0)
Advocacy activities
Not available
Proxy votes 2015-19
51.0%
Proxy votes 2020
Not available
Proxy votes 2021
Not available
Proxy votes rating
C(51.0)
Overall advocacy and engagement rating
D(35.6)
Info
Name
Macquarie True Index Australian Fixed Interest Fund
Symbol
MAQ0211AU
Type
Mutual Fund
APIR
MAQ0211AU
Fund family
Macquarie
Asset class
Fixed income
Expense ratio
MAQ0211AU
0.00%
Description
The Fund provides exposure to the performance of the UBS Composite Bond Index (Index) and is designed to generate a return equal to the Index return. In addition, the Fund enters into a swap agreement with Macquarie Life.
This information may not be used for corporate financing purposes (including, without limitation, ESG-linked loans, credit facilities, securities or structured products), as a basis for any financial instruments or products (including, without limitation, passively managed funds and index-linked derivative securities) or other products or services, to verify or correct data in any other compilation of data or index, to create any derivative works, nor to create any other data or index (custom or otherwise), without Ethos' prior written permission.
Overall impact, 'E', 'S', and 'G' ratings
Ratings for
Overall impact,
Environment,
Social,
and
Governance
assess impact on causes that are "material" to a company's industry.
For example, the energy industry has a larger impact on causes like
Climate Action
and
Sustainable Resource Use
than many other industries, so we consider these causes "material" for the energy industry and include them in an energy company's overall impact rating.
Overall impact ratings consider material causes across all ESG categories. Environment, Social and Governance ratings consider material causes within their respective categories.
Overall impact, E, S, and G ratings for funds represent the weighted-average scores scores of companies held by the fund.
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