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SRI 2003 Report on Socially Responsible Investing Trends in the United States

Socially and environmentally responsible investing in the United States has proven remarkably robust during 2001 and 2002 despite sluggish market conditions that have resulted in a downturn in assets in the wider investment universe. Most notably, socially screened portfolios counted by this Report grew seven percent, while the broader universe of professionally managed portfolios fell four percent.

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