KEY DOCUMENTS
Climate Risk Report
EIG 2025 ESG Performance
Since 2010, EIG has integrated sustainable investing practices into its underwriting and asset management programs. Sound risk management frameworks are fundamental to preserving asset value and building long-term portfolio resilience.
At EIG, sustainable investing includes thorough assessment of financially material sustainability and climate considerations throughout our underwriting and asset management practices. By maintaining a consistent risk-focused approach, we strive to safeguard capital, enhance resilience, and create durable, long-term value for investors.
Our approach to sustainable investing focuses on long-term value creation by identifying material risks and opportunities critical for active monitoring and engagement. We seek to strengthen portfolio company performance and encourage the adoption of best practices over time.
As an energy and infrastructure manager, climate-related risks and opportunities may have outsized impacts on our portfolio. EIG is focused on contributing to the transition of global energy systems and seeks to align our portfolio with the goals of the Paris Agreement.1
Key Activities Supporting Sustainable Investing
EIG actively collaborates with peers and industry groups on reporting best practices.2
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