Informationen zum Unternehmen
Name Vedanta Ltd. (ehemals Sesa Sterlite)
ISIN INE205A01025
GB0033277061
Website http://www.vedantalimited.com/know-us/our-story.aspx
Konflikte
Erläuterung Sesa Sterlite, seit 2015 Vedanta Ltd., wurde durch eine Umstrukturierung des britischen Bergbaukonzerns Vedanta Resources und die Verschmelzung der damaligen Tochterunternehmen Sterlite Industries, Sesa Goa, Vedanta Aluminum (VAL) und Madras Aluminium Company (Malco) im Jahr 2012 gegründet. Der Ethikrat des Norwegischen Pesnionsfonds argumentierte, dass durch die Umstrukturierung keine Veränderung in den Unternehmungen von Vedanta vorgenommen werde und der Ausschluss wegen schwerer Umwelt- und Menschenrechtsverletzungen weiterhin und für beide Unternehmen, Vedanta und Sesa Sterlite, gültig sei. Der Ausschluss von Sesa Sterlite erfolgte 2014.
Vedanta zählt außerdem laut der Investoren-Inititative Climate Action 100+ zu den Unternehmen mit den höchsten kombinierten direkten und indirekten Treibhausgasemissionen (gemäß Daten des Carbon Disclosure Project (CDP)), die im globalen Index MSCI ACWI (85% der weltweit investierbaren Aktien) geführt werden. Demnach trägt das Unternehmen durch seine Unternehmenspraxis maßgeblich zum Klimawandel bei.
Quellen Empfehlung des Ethikrates an den Norwegischen Pensionsfonds, Mai 2007 und Sept. 2013
Ausschlussliste des Norwegischen Pensionsfonds (Stand: Juli 2020)
Climate Action 100+ Liste der 100 Fokusunternehmen (Stand: Sep. 2019)
Anzahl laufender Anleihen 189
Anzahl beinhaltender Fonds 217
Fonds, die Aktien oder Anleihen des Unternehmens halten
ISIN des Fonds Name Bemerkung Gesamthöhe kontroverser Unternehmensbeteiligungen Höhe der Beteiligung in Vedanta Ltd. (ehemals Sesa Sterlite)
LU0488056044 Allianz Asian Multi Income Plus AM-USD
4.76%
0.43%
LU0648948544 Allianz Asian Multi Income Plus AM-HKD
4.76%
0.43%
LU0648982212 Allianz Asian Multi Income Plus AM (H2-AUD)
4.76%
0.43%
LU1218110499 Allianz Asian Multi Income Plus AM (H2-RMB) CNY
4.76%
0.43%
LU1282649141 Allianz Asian Multi Income Plus AMg-HKD
4.76%
0.43%
LU1282650156 Allianz Dynamic Asian High Yield Bd AMg (H2-AUD)
1.58%
1.58%
LU1282650073 Allianz Dynamic Asian High Yield Bd AMg-HKD
1.58%
1.58%
LU1282649901 Allianz Dynamic Asian High Yield Bd AMg-USD
1.58%
1.58%
LU1282650404 Allianz Dynamic Asian High Yield Bd AMg (H2-CAD)
1.58%
1.58%
LU1282650230 Allianz Dynamic Asian High Yield Bd AMg (H2-RMB)
1.58%
1.58%
LU1311290768 Allianz Dynamic Asian High Yield Bd AMg (H2-EUR)
1.58%
1.58%
LU1492452609 Allianz Dynamic Asian High Yield Bd Amg-SGD
1.58%
1.58%
LU1574759913 Allianz Dynamic Asian High Yield Bd A (H2-EUR)
1.58%
1.58%
LU1720049037 Allianz Dynamic Asian High Yield Bd AM (H2-AUD)
1.58%
1.58%
LU1720048906 Allianz Dynamic Asian High Yield Bd AM (H2-SGD)
1.58%
1.58%
LU1720049110 Allianz Dynamic Asian High Yield Bd AM-HKD
1.58%
1.58%
LU1720048815 Allianz Dynamic Asian High Yield Bd AM-USD
1.58%
1.58%
LU1282650313 Allianz Dynamic Asian High Yield Bd AMg (H2-GBP)
1.58%
1.58%
LU1282650586 Allianz Dynamic Asian High Yield Bd AMg (H2-NZD)
1.58%
1.58%
LU1282650669 Allianz Dynamic Asian High Yield Bd AMg (H2-SGD)
1.58%
1.58%
LU1543697327 Allianz Dynamic Asian High Yield Bd AT-USD
1.58%
1.58%
LU1706852537 Allianz Dynamic Asian High Yield Bd P (H2-EUR)
1.58%
1.58%
LU1896600571 Allianz Dynamic Asian High Yield Bd Amg (H2-ZAR)
1.58%
1.58%
LU1923143306 Allianz Dynamic Asian High Yield Bd R-USD
1.58%
1.58%
LU1923143488 Allianz Dynamic Asian High Yield Bd RT-USD
1.58%
1.58%
LU1958618974 Allianz Dynamic Asian High Yield Bd CM-USD
1.58%
1.58%
LU1958619196 Allianz Dynamic Asian High Yield Bd CT-USD
1.58%
1.58%
LU2069287352 Allianz Dynamic Asian High Yield Bd AT (H2-EUR)
1.58%
1.58%
LU1143268792 Allianz Emerging Markets Select RT (H2-EUR)
3.59%
0.50%
LU1794554391 Allianz Emerging Markets Select Amg-USD
3.59%
0.50%
LU2041105730 Allianz Emerging Markets Select A (H2-EUR)
3.59%
0.50%
LU2041105813 Allianz Emerging Markets Select P (H2-EUR)
3.59%
0.50%
LU2223787966 Allianz Emerging Markets Select AT-USD
3.59%
0.50%
LU1064047639 Allianz Emerging Markets Short Dur AM (H2-EUR)
5.32%
0.53%
LU1079477284 Allianz Emerging Markets Short Dur AT (H2-EUR)
5.32%
0.53%
LU1064047712 Allianz Emerging Markets Short Dur CT (H2-EUR)
5.32%
0.53%
LU1066236941 Allianz Emerging Markets Short Dur P2 (H2-EUR)
5.32%
0.53%
LU0384037296 Allianz Asian Multi Income Plus AT-USD
4.76%
0.43%
LU1282649224 Allianz Asian Multi Income Plus AMg (H2-AUD)
4.76%
0.43%
LU1282649653 Allianz Asian Multi Income Plus AMg (H2-CAD)
4.76%
0.43%
LU1282649570 Allianz Asian Multi Income Plus AMg (H2-GBP)
4.76%
0.43%
LU1282649737 Allianz Asian Multi Income Plus AMg (H2-NZD)
4.76%
0.43%
LU1282649497 Allianz Asian Multi Income Plus AMg (H2-RMB)
4.76%
0.43%
LU1282649810 Allianz Asian Multi Income Plus AMg (H2-SGD)
4.76%
0.43%
LU1282649067 Allianz Asian Multi Income Plus AMg-USD
4.76%
0.43%
LU1311290685 Allianz Asian Multi Income Plus AMg (H2-EUR)
4.76%
0.43%
LU1942583649 Allianz Asian Multi Income Plus RM (H2-GBP)
4.76%
0.43%
LU1480269049 Allianz Global Multi-Asset Credit AT (H2-EUR)
6.15%
0.32%
LU1480268660 Allianz Global Multi-Asset Credit A (H2-EUR)
6.15%
0.32%
LU1480270054 Allianz Global Multi-Asset Credit P (H2-EUR)
6.15%
0.32%
LU1480270997 Allianz Global High Yield A-USD
8.51%
0.77%
LU1480271532 Allianz Global High Yield AT (H2-EUR)
8.51%
0.77%
LU1480272266 Allianz Global High Yield P-USD
8.51%
0.77%
LU1516273585 Allianz Global High Yield P (H2-GBP)
8.51%
0.77%
LU1527139833 Allianz Global High Yield P10 (H2-EUR)
8.51%
0.77%
LU1480268744 Allianz Global Multi-Asset Credit AT-USD
6.15%
0.32%
LU1480270641 Allianz Global Multi-Asset Credit CT (H2-EUR)
6.15%
0.32%
LU1568875956 Allianz Global Multi-Asset Credit AQ (H2-EUR)
6.15%
0.32%
LU1568875873 Allianz Global Multi-Asset Credit AQ-USD
6.15%
0.32%
LU1597343828 Allianz Global Multi-Asset Credit C (H2-EUR)
6.15%
0.32%
LU1597343745 Allianz Global Multi-Asset Credit AT (H2-CZK)
6.15%
0.32%
LU1597344396 Allianz Global Multi-Asset Credit PT (H2-CHF)
6.15%
0.32%
LU1597344479 Allianz Global Multi-Asset Credit PT-USD
6.15%
0.32%
LU1637808442 Allianz Global High Yield AMg-USD
8.51%
0.77%
LU1652854925 Allianz Global High Yield RT (H2-EUR)
8.51%
0.77%
LU1677197086 Allianz Global High Yield RT-USD
8.51%
0.77%
LU1685827146 Allianz Global Multi-Asset Credit RT-USD
6.15%
0.32%
LU1480268405 Allianz Global Multi-Asset Credit A-USD
6.15%
0.32%
LU1858968388 Allianz Global Multi-Asset Credit AMg (H2-AUD)
6.15%
0.32%
LU1858968461 Allianz Global Multi-Asset Credit AMg (H2-ZAR)
6.15%
0.32%
LU1858968206 Allianz Global Multi-Asset Credit AMg-USD
6.15%
0.32%
LU1516273239 Allianz Global Multi-Asset Credit PT2 (H2-EUR)
6.15%
0.32%
LU1516273155 Allianz Global Multi-Asset Credit PT2-USD
6.15%
0.32%
LU2049825206 Allianz Global High Yield AMg (H2-SGD)
8.51%
0.77%
LU0383775318 UniRak Emerging Markets A
8.08%
0.21%
LU0383775664 UniRak Emerging Markets -net- A
8.08%
0.21%
LU0139115926 Deka-CorporateBond High Yield Euro CF
7.8%
0.25%
LU0158528447 Deka-Wandelanleihen CF
8.12%
0.23%
LU0158529254 Deka-Wandelanleihen TF
8.12%
0.23%
DE000DK2EAL7 Deka-Globale Renten High Income CF
3.55%
1.62%
DE000DK2EAM5 Deka-Globale Renten High Income TF
3.55%
1.62%
DE000DK2J6Q9 Deka-RentenStrategie Global TF
3.46%
0.50%
DE000DK2J6P1 Deka-RentenStrategie Global CF
3.46%
0.50%
DE000DK2J662 Deka-Multi Asset Income CF A
8.97%
0.08%
DE000DK2J670 Deka-Multi Asset Income I A
8.97%
0.08%
DE000DK2J6R7 Deka-RentenStrategie Global PB
3.46%
0.50%
DE000DK2J7R5 Deka-PB ManagerMandat
0.73%
0.46%
DE000DK2EAH5 Deka-RentSpezial High Income 9/2020 CF
12.35%
1.53%
DE000DK0LNS4 Deka-RentSpezial High Income 9/2025
9.7%
0.90%
DE0008479213 Multirent-INVEST
3.94%
0.08%
LU0093504206 BGF Global High Yield Bond A2 EUR Hedged
5.67%
0.07%
LU0063729296 BGF Asian Tiger Bond A2 USD
3.38%
0.43%
LU0171283459 BGF Global Allocation A2 EUR
10.34%
0.00%
LU0212925753 BGF Global Allocation A2 EUR Hedged
10.34%
0.00%
LU0240613025 BGF Global Allocation A4 EUR Hedged
10.34%
0.00%
LU0408221512 BGF Global Allocation A4 EUR
10.34%
0.00%
LU0973708182 BGF Fixed Income Gbl Opportunities A4 EUR Hedged
2.72%
0.02%
LU0238203821 Fidelity Funds - Emerging Mkt Dbt A-EUR-DIS
4.89%
0.29%
LU1129851157 Fidelity Funds - Gl MA Income A-GDIST-EUR H
8.74%
0.32%
LU0117844026 JPM Asia Pacific Income A Dis USD
13.26%
0.07%
LU0133266147 Goldman Sachs Em Markets Debt Pf E Acc EUR
0.85%
0.03%
LU0772501077 Goldman Sachs Em Markets Debt Pf OCS EUR-H
0.85%
0.03%
LU0906949010 Goldman Sachs Glo Strat Inc Bond Pf OCS EUR-H
3.46%
0.01%
LU0910636389 Goldman Sachs Em Mkts Debt Blend Pf Base USD
0.77%
0.06%
LU0957594590 Swisscanto (LU) BF Resp Glbl Crdt Opps AAH EUR
5.06%
0.53%
LU0575334395 Global Emerging Markets Balance Portfolio ID
2.19%
0.12%
LU0455866771 Global Emerging Markets Balance Portfolio LD
2.19%
0.12%
LU0688782761 Global Emerging Markets Balance Portfolio IDH USD
2.19%
0.12%
LU0688782688 Global Emerging Markets Balance Portfolio LDH USD
2.19%
0.12%
LU0616856422 DWS Invest China Bonds USD LC
2.44%
2.44%
LU0616856778 DWS Invest China Bonds USD FC
2.44%
2.44%
LU0632805262 DWS Invest China Bonds LCH
2.44%
2.44%
LU0632808951 DWS Invest China Bonds FCH
2.44%
2.44%
LU0740830996 DWS Invest China Bonds LDH
2.44%
2.44%
LU0740831614 DWS Invest China Bonds NCH
2.44%
2.44%
LU0813327896 DWS Invest China Bonds CHF LCH
2.44%
2.44%
LU0813328357 DWS Invest China Bonds CHF FCH
2.44%
2.44%
LU0813328787 DWS Invest China Bonds RMB LC
2.44%
2.44%
LU0813328860 DWS Invest China Bonds RMB FC
2.44%
2.44%
LU0616855887 DWS Invest China Bonds NC
2.44%
2.44%
LU0740832000 DWS Invest China Bonds NDH
2.44%
2.44%
LU0813324794 DWS Invest Asian Bonds FCH
6.01%
4.97%
LU0813325502 DWS Invest Asian Bonds USD FC
6.01%
4.97%
LU0740831374 DWS Invest China Bonds FDH
2.44%
2.44%
LU1322112480 DWS Invest China Bonds SEK FCH
2.44%
2.44%
LU1322112563 DWS Invest China Bonds SEK LCH
2.44%
2.44%
LU1322112647 DWS Invest China Bonds USD FCH (P)
2.44%
2.44%
LU1322112720 DWS Invest China Bonds USD LDH (P)
2.44%
2.44%
LU1322112993 DWS Invest China Bonds USD LDMH (P)
2.44%
2.44%
LU0813324521 DWS Invest Asian Bonds LDH
6.01%
4.97%
LU1525638091 DWS Invest Asian Bonds USD LDM
6.01%
4.97%
LU1589659504 DWS Invest Asian Bonds USD IC
6.01%
4.97%
LU1589658878 DWS Invest Asian Bonds USD XC
6.01%
4.97%
LU1589658522 DWS Invest Asian Bonds USD RC
6.01%
4.97%
LU1054325771 DWS Invest China Bonds NDQH
2.44%
2.44%
LU1663839196 DWS Invest Asian Bonds TFCH
6.01%
4.97%
LU1663839279 DWS Invest Asian Bonds TFDH
6.01%
4.97%
LU1663839352 DWS Invest Asian Bonds USD TFC
6.01%
4.97%
LU1663839949 DWS Invest China Bonds TFCH
2.44%
2.44%
LU1663840103 DWS Invest China Bonds USD TFC
2.44%
2.44%
LU0813324364 DWS Invest Asian Bonds LCH
6.01%
4.97%
LU0813325411 DWS Invest Asian Bonds USD LC
6.01%
4.97%
LU1769795342 DWS Invest Asian Bonds HKD LDM
6.01%
4.97%
LU1769795698 DWS Invest Asian Bonds SGD LDM
6.01%
4.97%
LU1796233663 DWS Invest Asian Bonds IDH
6.01%
4.97%
LU1805360861 DWS Invest Asian Bonds HKD LDMH
6.01%
4.97%
LU1805361083 DWS Invest Asian Bonds SGD LDMH
6.01%
4.97%
LU0273170653 DWS Invest Emerging Markets Corp USD LD
7.91%
0.38%
LU0273170737 DWS Invest Emerging Markets Corp USD LC
7.91%
0.38%
LU0273179951 DWS Invest Emerging Markets Corp USD FC
7.91%
0.38%
LU0507269834 DWS Invest Emerging Markets Corp LDH
7.91%
0.38%
LU0436052673 DWS Invest Emerging Markets Corp LCH
7.91%
0.38%
LU0507270097 DWS Invest Emerging Markets Corp FCH
7.91%
0.38%
LU0544572273 DWS Invest Emerging Markets Corp USD LDM
7.91%
0.38%
LU0911034782 DWS Invest Emerging Markets Corp SGD LDMH
7.91%
0.38%
LU1054326233 DWS Invest Emerging Markets Corp ND
7.91%
0.38%
LU0616861778 DWS Invest Emerging Markets Corp CHF FCH
7.91%
0.38%
LU1297621283 DWS Invest Emerging Markets Corp SEK LCH
7.91%
0.38%
LU1054327041 DWS Invest Emerging Markets Corp NDQH
7.91%
0.38%
LU1616932510 DWS Invest Emerging Markets Corp USD RC
7.91%
0.38%
LU1663850912 DWS Invest Emerging Markets Corp TFCH
7.91%
0.38%
LU1663853429 DWS Invest Emerging Markets Corp TFDH
7.91%
0.38%
LU1663855044 DWS Invest Emerging Markets Corp USD TFC
7.91%
0.38%
LU1663857685 DWS Invest Emerging Markets Corp USD TFD
7.91%
0.38%
LU1880859548 DWS Invest Asian Bonds AUD LDMH
6.01%
4.97%
LU1880859621 DWS Invest Asian Bonds HKD TFDMH
6.01%
4.97%
LU1880859894 DWS Invest Asian Bonds LDMH
6.01%
4.97%
LU1880859977 DWS Invest Asian Bonds SGD TFDMH
6.01%
4.97%
LU1880860041 DWS Invest Asian Bonds TFDMH
6.01%
4.97%
LU1914384000 DWS Invest Asian Bonds NCH
6.01%
4.97%
LU1949850538 DWS Invest Asian Bonds USD FC50
6.01%
4.97%
LU1951361812 DWS Invest Asian Bonds USD TFDM
6.01%
4.97%
LU1968688520 DWS Invest Asian Bonds RMB FCH100
6.01%
4.97%
LU1968688793 DWS Invest Asian Bonds RMB FCH50
6.01%
4.97%
LU2004370479 DWS Invest Asian Bonds CHF LCH
6.01%
4.97%
LU2004370636 DWS Invest Asian Bonds CHF TFCH
6.01%
4.97%
LU2022029008 DWS Invest Asian Bonds FCH100
6.01%
4.97%
LU2079148602 DWS Invest Asian Bonds GBP TFDMH
6.01%
4.97%
LU1054325854 DWS Invest China Bonds PFCH
2.44%
2.44%
LU1054325938 DWS Invest China Bonds PFDQH
2.44%
2.44%
LU1054327124 DWS Invest Emerging Markets Corp PFCH
7.91%
0.38%
LU1054327397 DWS Invest Emerging Markets Corp PFDQH
7.91%
0.38%
LU2093591621 DWS Invest China Bonds RMB FCH
2.44%
2.44%
LU2093593593 DWS Invest China Bonds RMB LCH
2.44%
2.44%
LU1663840012 DWS Invest China Bonds TFDH
2.44%
2.44%
IE00BTJRMP35 db x-trackers MSCI Em Mkts Index UCITS ETF (DR)1C
11.06%
0.05%
IE00B3D07G23 iShares Emerging Markets Index Inst Acc USD
10.68%
0.02%
IE00B3D07F16 iShares Emerging Markets Index Inst Acc EUR
10.68%
0.02%
IE00B3D07H30 iShares Emerging Markets Index Inst Acc GBP
10.68%
0.02%
IE00B3D07L75 iShares Emerging Markets Index Inst Dist GBP
10.68%
0.02%
IE00B3D07J53 iShares Emerging Markets Index Inst Dist EUR
10.68%
0.02%
IE00B3D07K68 iShares Emerging Markets Index Inst Dist USD
10.68%
0.02%
IE00B5N9CW43 iShares Edge EM Fundamental Weigh Idx Inst A GBP
16.22%
0.28%
LU0836513183 iShares Emerging Markets Equity Index (LU) A2 USD
10.1%
0.04%
LU0836514587 iShares Emerging Markets Equity Index (LU) N2 USD
10.1%
0.04%
LU0852473528 iShares Emerging Markets Equity Index (LU) N7 EUR
10.1%
0.04%
IE00B0M63177 iShares MSCI EM UCITS ETF USD (Dist)
10.92%
0.05%
IE00B4L5YC18 iShares MSCI EM UCITS ETF USD (Acc)
10.59%
0.05%
IE00B6TLBW47 iShares JP Morgan $ EM Corp Bd UCITS ETF USD Dis
8.74%
0.19%
IE00B5L8K969 iShares MSCI EM Asia UCITS ETF USD (Acc)
9.75%
0.05%
LU0836515980 iShares Emerging Markets Equity Index (LU) F2 USD
10.1%
0.04%
LU0960941754 iShares Emerging Markets Equity Index (LU) N7 USD
10.1%
0.04%
LU1055028937 iShares Emerging Markets Equity Index (LU) F2 EUR
10.1%
0.04%
IE00B4ZF3F31 iShares Edge EM Fundamental Weigh Idx EUR Inst Acc
16.22%
0.28%
IE00B5W95P95 iShares Edge EM Fundamental Weigh Idx EUR Inst Dis
16.22%
0.28%
IE00BKM4GZ66 iShares Core MSCI EM IMI UCITS ETF USD Acc
9.89%
0.05%
IE00BYWYCC39 iShares Emerging Markets Index EUR D Acc
10.68%
0.02%
IE00BYWYC907 iShares Emerging Markets Index USD D Acc
10.68%
0.02%
IE00BD45KH83 iShares Core MSCI EM IMI UCITS ETF USD Dist
9.89%
0.05%
IE00BZCQB185 iShares MSCI India UCITS ETF USD Acc
20.65%
0.66%
IE00BG0SKF03 iShares Edge MSCI EM ValueFactor UCITS ETF USD Acc
16.09%
0.01%
LU1811364212 iShares Emerging Markets Equity Index (LU) D2 USD
10.1%
0.04%
LU1811364303 iShares Emerging Markets Equity Index (LU) D2 EUR
10.1%
0.04%
IE00BFM6TD65 iShares JP Morgan $ EM Corp Bond UCITS ETF USD Acc
8.74%
0.19%
IE00BDQYPB20 iShares Emerging Markets Index Inst USD Hdg A Acc
10.68%
0.02%
IE00BKT1CS59 iShares JP Morgan $ EM Crp Bd UCITS ETF EUR H Acc
8.74%
0.19%
LU0139792278 Sparinvest-Procedo EUR R
8.87%
0.00%