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Sustainability For Our For Our Creating Value For the For Our Managing Appendix at MetLife Workforce Customers as an Investor Environment Communities Responsibly SASB Index SASB—Sustainability Accounting Standards Board Incorporation of Environmental, Social and Governance Factors in Investment Management & Advisory Code/Metric Response/Reference FN-AC-410a.1, Amount of assets under management, by asset class, 1. MIM is pr edominately a global fixed income and real estate investment manager. Approximately that employ 3% of our overall AUM is held in index equity funds and other limited equity investments. Our (1) integration of environmental, social, and governance (ESG) issues, public equity investments are almost exclusively comprised of index strategies. MIM is a passive (2) sustainability themed investing, and (3) screening index investor. As of December 31, 2021, we estimate that approximately $646.8 billion of assets employ ESG integration efforts (See Creating Value as an Investor). 2. $82.9 billion in responsible investments (see Creating Value as an Investor >> Responsible Investments for more). 3. MIM applies specific guidelines as requested by our clients and client-directed investment screens into our investment process, as applicable. FN-AC-410a.2, Description of approach to incorporation of MIM ESG Investment Policy >> Our Approach to Environmental, Social and Governance (ESG) environmental, social, and governance (ESG) factors in investment and/ Considerations (page 2). or wealth management processes and strategies Creating Value as an Investor >> MetLife Investment Management >> ESG Integration 2021 SUSTAINABILITY REPORT 99

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