Grow drives powerful change by rewarding positive corporate behavior
across environmental, social and governance practices.
Grow’s proprietary investment models and digital advisory platform addresses
the demand of responsibly-minded institutions and individual investors.
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"From 2004 to 2014, the top-quintile ESG portfolios delivered annualized total returns of 9.76%, compared to the Russell 1000 Index’s 8.28% return and the bottom-quintile ESG portfolios’ 7.92% return."
"80% of the 200 studies reviewed showed that stock price performance is positively correlated with good sustainability practices"
Study by the University of Oxford
"93% of Millennials believe that a company's social and environmental impact is key
to their investing decisions"
"84% of millennials are interested in sustainable investing and they’re twice as likely to invest in a stock or a fund if sustainability is part of the value-creation thesis."
Our flagship global portfolio, GGL combines top sustainable US companies and international exchange traded funds (ETFs) from countries with highly rated governance.
Our governance-driven global portfolio combines top corporate governance companies in the US, alongside international exchange trade funds (ETFs) from countries with highly rated governance.
Our domestic model provides exposure to the top US sustainable companies based on environmental, social and governance criteria.