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Our investment processes are rooted in our belief that, all else equal, companies with sound business practices, including appropriate attention to environmental issues, social practices and corporate governance, are more likely to outperform. Therefore, CC&L Investment Management believes that the integration of these themes in our investment approach is preferable to divesting or screening out companies from our investment universe.


Each of our teams integrate the assessment of ESG factors in their analysis of securities in order to evaluate risk or uncover opportunities.

CC&L Investment Management’s fundamental equity and fixed income teams incorporate the assessment of ESG factors into their security analysis. This includes the evaluation of ESG themes that may have a material impact on performance within the relevant investment horizon. Our quantitative equity team integrates ESG factors into our quantitative equity model as risk factors using third party ESG data.



CC&L Investment Management Ltd.
September 8th, 2022