The Natixis Sustainable Future Funds® are designed for retirement investors who want to generate sustainable long-term returns. The Funds combine a sophisticated “through retirement” allocation glidepath with a focus on ESG investing. They are also intended to be suitable as a QDIA (qualified default investment alternative) for ERISA plans.


Fund Management
The Funds’ broadly diversified portfolios are managed by a proven team, using a variety of active and passive investment strategies from experienced managers:
  • ESG equity direct index strategies – Natixis Investment Managers Solutions
  • Active equity strategies – Harris Associates, Loomis, Sayles & Company, and WCM Investment Management
  • Active fixed income strategies – Loomis, Sayles & Company
  • Thematic equity and fixed income strategies – Mirova

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Differentiators
The Funds offer an alternative to traditional target date families:
  • Multi-manager – Diverse investment expertise of independent Natixis-affiliated investment managers.
  • Intentional approach to ESG – Managers incorporate ESG in decision-making to help address a broader range of risks and opportunities.
  • Hybrid portfolios – Blend of active and passive strategies and diverse styles to pursue more consistent results.

LEARN MORE ABOUT THE ESG TARGET DATE SERIES

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