Our mission seeks to deliver superior risk-adjusted returns through investment strategies that contribute to positive environmental and social outcomes.
CCM manages approximately $4.5 billion in impact investments including Community Reinvestment Act (CRA) qualified investments. We believe a fully integrated portfolio, one that includes impact and environmental, social, and governance (ESG) factors, can deliver strong financial performance while simultaneously having positive long-term economic and sustainable outcomes. Our strategies utilize an innovative approach to fixed income and equity investing by combining positive impact and ESG outcomes with rigorous financial analysis, an inherent focus on risk management, and transparent research.
We provide impact investing solutions coupled with hands-on client service to a broad range of investors through fixed income and equity strategies.
We offer institutional clients the opportunity to customize their bond portfolio by geographies, impact themes, or impact initiatives.