They also identify the proposed contents of the Board’s written statement of investment policies, standards, and procedures for its portfolio of investments. Included are: the categories of investments; diversification of the investment portfolio; asset mix and rate of return expectations; policies for the management of credit, market, and other financial risks; and, the retention or delegation of voting rights acquired through investments.
Il précise également la teneur proposée de l’énoncé des principes, normes et procédures relatifs aux placements : les catégories de placements; la diversification du portefeuille de placements; la composition de l’actif et le taux de rendement prévu; les principes de gestion des risques financiers, notamment les risques de crédit et du marché; le maintien ou la délégation des droits de vote acquis grâce aux placements.