Indicator Type of indicator Dependent on Gateway to Disclosure Subsection PRI Principle ISP 30.1 CORE ISP 30 N/A PUBLIC Strategy General For each of the identified climate-related risks and opportunities, indicate within which investment time-horizon they were identified. (2) 6 months to (1) 3–5 months (3) 2–4 years (4) 5–10 years 2 years (A) Specific financial risks in different asset classes [as ☐ ☑ ☑ ☑ specified] (B) Specific sectors and/or assets that are at risk of being stranded ☐ ☑ ☑ ☑ [as specified] (C) Assets with exposure to direct physical climate risk [as ☐ ☐ ☐ ☑ specified] (E) Specific sectors and/or assets that are likely to benefit under a ☐ ☑ ☐ ☑ range of climate scenarios [as specified] (5) 11–20 years (6) 21–30 years (7) >30 years (A) Specific financial risks in different asset classes [as ☐ ☐ ☐ specified] (B) Specific sectors and/or assets that are at risk of being stranded ☐ ☐ ☐ [as specified] (C) Assets with exposure to direct physical climate risk [as ☐ ☑ ☐ specified] 61
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