Building a
Sustainable Future

Sustainability is at the core of how we invest, how we operate, and how we measure long-term value. We believe that responsible stewardship and superior returns are not opposing forces — they are inseparable.

Our Philosophy

Stewardship as a
Core Responsibility

At lmc., we recognise that the world faces challenges — climate change, social inequality, and governance failures — that demand a long-term response. As a long-horizon investor, we are uniquely positioned to be part of that solution.

We integrate environmental, social, and governance (ESG) considerations into every investment decision — not as a compliance exercise, but as a genuine lens for identifying durable value and managing long-term risk.

“We invest for the long term, and the long term demands that we get sustainability right.”

Our Commitments in Numbers

2050

Net Zero Target

Committed to achieving net zero greenhouse gas emissions across our portfolio by 2050

30%

Carbon Reduction

Target to reduce carbon intensity of our portfolio by 30% from 2010 baseline by 2030

100+

ESG Assessments

ESG assessments conducted on portfolio companies annually

15+

Years of Reporting

Years of publishing transparent sustainability and annual reports

ESG Framework

How We Approach ESG

Our ESG framework is built on three interconnected pillars. Together, they define how we evaluate risk, engage with portfolio companies, and create lasting impact.

🌍

Environmental

  • Climate risk integration in investment decisions
  • Net zero commitment across portfolio by 2050
  • Carbon intensity monitoring and reduction targets
  • Support for clean energy and green infrastructure

🤝

Social

  • Human rights and labour standards due diligence
  • Diversity, equity and inclusion in portfolio companies
  • Community impact and inclusive growth investments
  • Employee well-being and fair workplace practices

⚖️

Governance

  • Board independence and accountability standards
  • Anti-corruption and business ethics policies
  • Transparent reporting aligned with global standards
  • Active ownership and responsible stewardship

Climate Action

Our Path to Net Zero

We have made a firm commitment to achieve net zero greenhouse gas emissions across our portfolio by 2050. This commitment is backed by concrete interim targets and active engagement with our portfolio companies.

📊

Measure & Monitor

We measure the carbon footprint and climate risk exposure of our portfolio annually, using globally recognised methodologies including TCFD and PCAF frameworks.

🎯

Set & Track Targets

Our 2030 interim target is a 30% reduction in weighted average carbon intensity. We report progress transparently in our annual sustainability report.

🌿

Engage & Collaborate

We work directly with portfolio companies to support their decarbonisation journeys — from strategy setting to capital allocation for clean technologies.

🔋

Invest in Solutions

We actively seek investments in renewable energy, green infrastructure, and climate technology that accelerate the transition to a low-carbon economy.

Responsible Investment

ESG Integration in Practice

Responsible investment is not a standalone process — it is woven into how we source, evaluate, and manage every investment we make.

01

Pre-Investment Screening

Every new investment opportunity undergoes a structured ESG assessment. We identify material risks, opportunities, and areas requiring management attention before committing capital.

02

Active Ownership

We engage directly with boards and management teams on ESG matters. As long-term shareholders, we believe constructive dialogue — not divestment — drives real-world improvement.

03

Ongoing Monitoring

We track ESG performance across our portfolio through annual reviews and tailored KPIs, ensuring that commitments made at entry translate into measurable outcomes over time.

Transparency & Reporting

Reporting on Our Progress

We believe that transparency is the foundation of trust. We publish comprehensive sustainability disclosures aligned with leading global frameworks.

Framework

TCFD Disclosure

We report in alignment with the Task Force on Climate-related Financial Disclosures, covering governance, strategy, risk management, and metrics.

Framework

GRI Standards

Our sustainability reporting follows the Global Reporting Initiative standards, enabling consistent year-on-year comparison and peer benchmarking.

Framework

UN SDGs Alignment

We map our investment themes and portfolio impact to the United Nations Sustainable Development Goals, with particular focus on SDGs 7, 8, 13, and 16.

Annual Publication

Sustainability Report

Our annual sustainability report covers portfolio ESG performance, climate metrics, social impact data, and governance practices in full detail.

Investing responsibly, for every generation.

Learn more about our approach

Speak with our team about responsible investment and our sustainability commitments.