bcIMC Investment Management Corporation
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bcIMC's mandate is to deliver the returns that help our clients meet their long-term financial objectives. Assessing and managing investment risk is an integral part of how we meet our fiduciary duty. Our primary concern is for the long-term value of our investments. Some environmental, social, and governance (ESG) factors may emerge over time and become material risks that affect the long-term value of the investment. We address ESG matters to the extent that they influence risk and return. For an overview of our approach to responsible investing, please review our Responsible Investing Factsheet.

As a long-term investor, we contribute more than capital to our investments – we use responsible investing to protect future cash flows and grow the long-term financial value of our clients' funds. We expect our companies to apply best practices for corporate governance, adopt good standards of safety and employee welfare, and be responsible in their operations by effectively managing relationships with suppliers, customers and communities.

Philosophy
  Corporate Governance
Environmental and Social Responsibility
 
     
Approach
  Fiduciary Framework
Activities
Principles for Responsible Investment
     
Standards
  Corporate Governance
Environmental and Social Responsibility
     
Responsible Investing Reporting
  2015 Responsible Investing Annual Report
Responsible Investing Newsletter
Transparency Reporting to PRI
Proxy Voting Record
Quarterly Responsible Investing Highlights
     
 


 
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