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Helvetia Group’s key CR figures at a glance

Helvetia wants its sustainability management to have the greatest possible impact on the economy, the environment and society.

Within this, we concentrate on specific goals and continuously monitor their progress. Only in this way can we continue to develop our CR strategy and the measures based on it, while remaining agile and fit for the future.

The following key figures provide an overview of our progress.

ESG Rating of financial assets portfolio (Helvetia Group) in Percent

AAA 8.24 %
AA 25.6 %
A 30.88 %
BBB 19.5 %
BB 3.86 %
B 1.08 %
CCC 0.46 %
NR – not rated 10.38 %
Composition of the financial assets portfolio according to ESG ratings (source: MSCI ESG Research)
Rating Share Description
AAA 8.24 % Strong and/or improving management of financially relevant environmental, social and governance issues
AA 25.6 % Strong and/or improving management of financially relevant environmental, social and governance issues
A 30.88 % Above average management of ESG issues
BBB 19.5 % Average management of ESG issues, or mix of both above-average and below-average ESG risk management
BB 3.86 % Average management of ESG issues, or mix of both above-average and below-average ESG risk management
B 1.08 % No adequate management of the ESG risks or worsening management of these issues
CCC 0.46 % No adequate management of the ESG risks or worsening management of these issues
NR – not rated 10.38 % No ESG rating available