About UC Investments
UC Investments oversees the University of California's investment portfolio, managing a diverse array of assets, including endowments, pension funds, and working capital. The organization is committed to achieving long-term growth while upholding sustainability and fiduciary responsibility. UC Investments employs a strategic approach to asset management, integrating environmental, social, and governance (ESG) factors into its investment decisions. By focusing on responsible investing, the organization aims to support the financial stability of the University of California system and contribute to the broader goals of sustainable development and social impact.