A curated selection of mutual funds dedicated to environmental sustainability and climate change mitigation. These funds allow ethical investors to align their portfolios with green energy initiatives, carbon reduction goals, and responsible corporate governance practices.
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Tracks the MSCI KLD 400 Social Index, excluding companies with significant ESG controversies. It offers broad U.S. market exposure while actively avoiding fossil fuel reserves and tobacco industries, ensuring a cleaner investment footprint.
One of the pioneering ESG funds that applies rigorous environmental, social, and governance screens. It focuses on high-quality companies with sustainable business models and strong labor practices, aiming for competitive long-term returns.
Tracks an index of U.S. companies with positive environmental, social, and governance characteristics. The fund excludes businesses involved in tobacco, alcohol, and gambling, providing a socially responsible alternative to standard equity indexes.
Led by a pioneer in socially responsible investing, this fund integrates ESG analysis deeply into its investment process. It seeks companies that demonstrate strong governance and sustainable practices while managing risks related to climate change.
Offers investors the opportunity to align their investments with their values by screening out controversial industries. It focuses on companies that meet strict criteria regarding human rights, environmental stewardship, and community impact.
Implements a unique multi-stage investment process that identifies companies leading in positive social and environmental impact. It actively engages with corporations to improve their ESG performance while maintaining a focus on financial stability.
Targets large-cap growth companies with favorable ESG profiles while maintaining sector weightings close to the broader market. It is designed for investors seeking growth exposure without compromising on ethical standards or climate considerations.
Specifically targets companies involved in the global clean energy sector, including solar, wind, and hydro power. This fund is ideal for investors wanting direct exposure to the transition away from fossil fuels toward renewable resources.
Selects companies from the MSCI USA Index that demonstrate leadership in ESG ratings relative to their peers. It aims to reduce carbon footprint and exclude weapons and tobacco, offering a diversified approach to ethical equity investing.
A balanced fund combining stocks and bonds with a strict mandate to exclude fossil fuel producers. It actively invests in green technology and sustainable industries, appealing to conservative investors who prioritize climate action and capital preservation.
Passively tracks an index of U.S. companies screened for ESG factors. It provides low-cost exposure to firms with strong sustainability practices, making ethical investing accessible for cost-conscious individuals focused on climate impact.
Seeks to track the performance of the FTSE4Good U.S. Select Index, which filters for socially responsible criteria. It is a cost-effective way for investors to participate in the U.S. stock market while adhering to ethical guidelines.
Focuses on mid-sized companies that demonstrate exceptional ESG characteristics and sustainable competitive advantages. The fund avoids controversial industries and emphasizes corporate citizenship, targeting growth companies making a positive social impact.
Uses MSCI ESG data to select companies with favorable ESG ratings while maintaining sector neutrality. It offers a hands-off approach to ESG investing, integrating sustainability factors into a broad, diversified U.S. equity portfolio.
Combines value investing principles with ESG screening to identify undervalued companies with strong sustainability profiles. It targets mid-cap firms that are effectively managing environmental risks and opportunities, appealing to value-oriented ethical investors.
Invests primarily in green bonds issued to finance environmentally beneficial projects such as renewable energy. It offers fixed-income exposure to climate solutions, allowing investors to support green infrastructure while earning regular interest payments.
Applies social and environmental screens to the bond market, excluding issuers involved in controversial activities. It provides income-focused investors with a way to support corporate responsibility while managing interest rate and credit risks.
Specifically targets companies that are leaders in addressing climate change through innovation and adaptation. It invests in firms providing clean energy solutions, efficient resource management, and low-carbon technologies, directly supporting the energy transition.
Targets companies with high ESG ratings and reduces carbon intensity to meet climate ambition goals. It is designed for global investors seeking to align their portfolio with the Paris Agreement targets while maintaining diversified international exposure.
Tracks an index of global companies benefiting from the clean energy transition, including renewables and efficiency. It offers broad international exposure to the green economy, diversifying risk beyond domestic markets for climate-focused investors.