- Investment Expertise
- Segregated investments
- Prices & Performance
- Our insight
Our Head of Global Strategy, Andrew Milligan, introduces the latest edition of Global Outlook, a summary of our House View.
Standard Life Investments’ Global Strategy team provide regular analysis of the key economic data that has been influencing financial markets.
Our global strategists combine valuable experience, thorough research and analysis to tackle major issues of the moment.
- How we discharge our stewardship responsibilities
- Our policy for managing conflicts of interests
- How we monitor our investee companies
- Our guidelines for escalating engagement
- Our willingness to act collectively with other investors
- Our policy on voting and voting disclosure
- How we report on stewardship to our clients
We recognise the importance of transparency and accountability when it comes to our stewardship responsibilities. To this end, we have published an annual review of our governance and stewardship activities, which provides an account of how we have fulfilled our responsibilities. Please select the link below to view the 2016 annual review.2016 annual review
- Responsible Investment
We've produced guidelines on responsible investment to explain how we evaluate the environmental and social policies of the companies in which we are (or might be) an investor.
Our industry-leading publications
To provide first-hand insight into the issues that are currently driving markets, we produce a global series of flagship publications.
The Weekly Economic Briefing provides a regular analysis of major developments in the leading advanced and emerging economies. On a monthly basis, we produce Global Outlook which includes a series of articles that examine investment trends and developments in each of the major asset classes, rotating between macro, country and sector- or company-specific insights. Lastly, Global Horizons captures the in-depth research of longer-term themes that help to form our House View. It also examines the major changes that are likely to influence financial markets in the coming years.