We believe that Sustainability is an essential element that cannot be separated from investment activities. Our focus is not only on achieving optimal returns, but also on creating positive value for the environment, society, and the implementation of good governance.
Our commitment to Environmental, Social, and Governance (ESG) principles is reflected in our investment strategies, decision-making processes, and relationships with all stakeholders. We consistently ensure that every investment decision aligns with Sustainability objectives, complies with applicable regulations, and supports the creation of long-term value.
We believe that the implementation of responsible investment will foster a more resilient, fair, and inclusive ecosystem. By integrating Sustainability principles into every step, we are not only focused on current performance, but also committed to leaving a positive legacy for future generations.
Principles of Responsible Investment
As part of our commitment to the principles of responsible investment, Batavia has an Environmental, Social, and Governance (ESG) Policy. We believe there is a strong correlation between ESG factors and the financial performance of publicly listed companies (issuers), and therefore we incorporate ESG criteria into all of our investment management approaches.
We invest in issuers that demonstrate consistent performance aligned with sound business practices. At a minimum, these issuers must ensure compliance with prevailing laws and regulations in Indonesia. Such compliance covers the activities of the issuers and their subsidiaries in the areas of environment, social, and governance. We do not invest in issuers or sectors that are proven to create negative impacts and/or environmental, social, and governance (ESG) risks. Therefore, we value the material benefits gained from the screening, monitoring, and reporting processes of the investments we actively manage.
ESG integration is an evolving area, and we recognize the challenges related to access to information and the measurement of ESG performance, particularly in emerging markets. Our focus is on defining and understanding risks and opportunities. ESG represents material consequences inherent in companies, sectors, and over time. We incorporate ESG considerations as a factor in our investment decision-making, with the primary goal of ensuring long-term benefits for our clients and shareholders.
Corporate Governance Information
PT Batavia Prosperindo Aset Manajemen (Batavia), as an Investment Manager, recognizes that Sustainability is not merely about running a profitable business, but also about creating long-term value that balances Environmental, Social, and Governance (ESG) aspects. In line with this, Batavia is committed to continuously developing an investment portfolio that not only delivers optimal returns, but also generates positive impacts on the environment and society.
The primary objective of Batavia’s Sustainability Report is to transparently communicate to all stakeholders the steps and initiatives that have been undertaken to support the achievement of its Sustainability goals. Through this report, Batavia aims to provide stakeholders with a clear understanding of the company’s efforts and journey in driving positive change, reflecting its commitment to Sustainability in both operational activities and investment portfolio management.
Batavia acknowledges that the journey toward Sustainability is dynamic and full of challenges. While there is still room for improvement across various aspects, Batavia remains committed to continuously enhancing its sustainability practices across all business activities, in order to create positive and lasting long-term impact.