The Future World fund range

Investing for the world you want to live in

The Future World funds are for clients who want to express a conviction on environmental, social and governance (ESG) themes, depending on their different investment styles. The funds extend LGIM’s approach to sustainable investing across a broad array of asset classes and strategies.

What is the Future World philosophy?

Future World is a natural evolution of what LGIM has always done – it reflects our culture and is aligned with our clients’ values. It seeks to identify long-term themes and opportunities, while managing the risks of a changing world.

Investors are increasingly recognising that ESG factors play a crucial role in determining asset prices, and helping to identify the companies that will succeed in a rapidly changing world – the winners of the future. As a result, sustainable investing is very much here to stay.

This is why we are bringing investments that incorporate ESG principles into the mainstream through our Future World fund range.

 

What are the Future World Funds?

The following funds make up the Future World range.

What are the Future World Funds?

The following funds make up the Future World range

Index

Future World Fund

The fund targets better risk-adjusted equity returns than a traditional index strategy by incorporating ‘factors’ into index design, while also seeking to address the investment risks associated with climate change.

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Future World Climate Change Equity Factors Index Fund

The fund targets better risk-adjusted equity returns than a traditional index strategy by incorporating ‘factors’ into index design, while also seeking to address the investment risks associated with climate change.

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Future World ESG Developed Index Fund

The fund offers broad exposure to developed market equities while incorporating ESG ‘tilts’ to LGIM-designed indices. The tilting mechanism aims to reduce exposure to companies associated with poor ESG practices and provides greater exposure to those that are better positioned from an ESG perspective.

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Future World ESG UK Index Fund

The fund offers broad UK equity market exposure while incorporating ESG ‘tilts’ to LGIM-designed indices. The tilting mechanism aims to reduce exposure to companies associated with poor ESG practices and provides greater exposure to those that are better positioned from an ESG perspective.

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Index building block funds

These funds provide equity and fixed income exposure to a variety of markets, while incorporating ESG ‘tilts’ to LGIM-designed indices.

UK institutional funds Asset class / style Benchmark Index
Future World North America Equity Index Fund Index equity Solactive L&G ESG North America Index
Future World Europe (ex UK) Equity Index Fund Index equity Solactive L&G ESG Europe ex UK Index
Future World UK Equity Index Fund Index equity Solactive L&G ESG UK Index
Future World Asia Pacific (ex Japan) Equity Index Fund Index equity Solactive L&G ESG APAC ex Japan Index
Future World Japan Equity Index Fund Index equity Solactive L&G ESG Japan Index
Future World GBP Corporate Bond Index Fund Index fixed income Solactive L&G ESG GBP Investment Grade Corporate TR Index
Future World USD Corporate Bond Index Fund Index fixed income Solactive L&G ESG USD Investment Grade Corporate TR Index
Future World EUR Corporate Bond Index Fund Index fixed income Solactive L&G ESG EUR Investment Grade Corporate TR Index