國立暨南國際大學(NCNU)秉持責任投資原則,確保校務基金之運用符合永續發展與淨零排放目標。
本校於 2024 年修訂之「投資收益收支管理要點」第六點,明定投資標的篩選應參考 企業社會責任(CSR)、環境、社會與公司治理(ESG)及 責任投資原則(PRI),以善盡大學社會責任,落實永續投資與減碳承諾。
依據上述要點,校方在進行校務基金投資時將避免投入高碳排之能源產業(例如煤炭與石油),並優先考量綠色與永續投資機會。
本政策由總務處與主計室共同執行,並公開於校務法規系統。
National Chi Nan University (NCNU) adopts a responsible investment approach to ensure university fund management aligns with sustainability and net-zero objectives. In 2024, NCNU revised the
Guidelines for the Management of Investment Income and Expenditure (Article 6), requiring investment screening to consider
Corporate Social Responsibility (CSR),
Environmental, Social and Governance (ESG), and the
Principles for Responsible Investment (PRI).
Under these principles, NCNU seeks to avoid investments in carbon-intensive energy industries (e.g., coal and oil) and to prioritize green and sustainable investment opportunities. The policy is implemented by the Office of General Affairs (in coordination with the Office of Accounting) and is publicly available for verification.
相關文件與連結 / Supporting Documents & Links
1.
https://ccweb6.ncnu.edu.tw/law/list_all_unit_lawview.php?showdetail=&law_id=1194
2.
https://environ.ncnu.edu.tw/p/404-1020-28729.php?Lang=zh-tw
3.
https://general.ncnu.edu.tw/p/404-1026-25873.php?Lang=zh-tw