Terror-Free Investing
Terror-free investing is an investment strategy that excludes companies with direct or indirect ties to countries or organizations that support terrorism. This ethical investment approach is driven by social responsibility, aiming to ensure that investors’ money does not fund activities linked to terrorism or human rights violations. It involves screening portfolios to exclude companies operating in countries sanctioned for sponsoring terrorism.
Example
An investor chooses a terror-free mutual fund that excludes companies doing business in countries like Iran or North Korea, which are designated as state sponsors of terrorism.
Key points
• An ethical investment strategy that excludes companies tied to terrorist activities or countries.
• Focuses on socially responsible investing by avoiding companies that operate in or support terrorism-linked regions.
• Often involves screening portfolios based on government sanctions or human rights criteria.