Bajaj Holdings & Investment Ltd.
Industry Group: Diversified Financials
Bajaj Holdings and Investment Ltd is an investment company that chooses equities from both the public and private equity markets. Traditionally, the company seeks to invest in companies that fit a five-year investment horizon. Investment portfolios are managed by an investment committee that meets frequently, and a team of fund managers and analysts. Bajaj's positions are placed into one of four portfolios, which include: strategic equity investments; other equities; fixed income securities; and property investments. Sector allocation for the company's other equities portfolio traditionally includes financials, technology/pharma, consumers/education, sugar, materials, construction, and telecom, and media.
ESG Risk Rating
Industry Group (1st = lowest risk)
Diversified Financials 58 out of 877
Global Universe 1499 out of 15620
What are the ESG Risk Ratings?
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Our Approach to Calculating ESG Risk
The ESG Risk Ratings measure a company's exposure to industry-specific material ESG risks and how well a company is managing those risks.
Exposure refers to the extent to which a company is exposed to different material ESG issues. Our exposure score takes into consideration subindustry and company-specific factors such as its business model.
Bajaj Holdings & Investment Ltd.'s Exposure is Low
Management refers to how well a company is managing its relevant ESG issues. Our management score assesses the robustness of a company's ESG programs, practices and policies.
Bajaj Holdings & Investment Ltd.'s Management of ESG Material Risk is Average
How do the ESG Risk Ratings work?
Highest Controversy level that has impacted Bajaj Holdings & Investment Ltd.'s ESG Risk Rating in the last three years
Highest Controversy Level