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.
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 |