Cion Investment Corp - ESG Rating & Company Profile powered by AI
The ESG score includes seventeen UN SDGs including: 'Good Health & Wellbeing', 'Responsible Production & Consumption' and 'Life on Land'. Complete Sustainability assessment of Cion Investment Corp are reached by signing up for free. This webpage displays a free E,S&G analysis covering Cion Investment Corp.
Cion Investment Corp in the Diversified Investment Services industry gained a UN SDG ESG Transparency Score of 2.1; made up of an environmental score of 1.6, social score of 1.6 and governance score of 3.2.
2.1
Low ImpactEnvironmental
Social
Governance
Peer Group Comparison
Rank | Company | SDG Transparency Score ⓘ | Performance |
---|---|---|---|
1 | African Equity Empowerment Investments Ltd | 8.0 | High |
1 | Credit Suisse Group AG | 8.0 | High |
... | ... | ... | |
54 | KKR & Co Inc | 2.9 | Medium |
55 | Noor Financial Investment Co KPSC | 2.5 | Medium |
56 | Cion Investment Corp | 2.1 | Medium |
56 | Al Madar Finance and Investment Co KSCP | 2.1 | Medium |
56 | Atalanta Sosnoff Capital LLC | 2.1 | Medium |
... | ... | ... | |
79 | Wealth First Portfolio Managers Ltd | 0.0 | Low |
79 | Yaarii Digital Integrated Services Ltd | 0.0 | Low |
... | ... | ... |
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Potential Risks for Cion Investment Corp
These potential risks are based on the size, segment and geographies of the company.
CION Investment Corporation is a business development company. It specializes in investments in senior secured loans, including unitranche loans, First Lien, second lien loans, long-term subordinated loans, and mezzanine loans; equity interests such as warrants or options; and corporate bonds; and other debt securities in middle-market companies. The firm invests in growth capital, acquisitions, leveraged buyouts, market/product expansion, refinancing and recapitalization. The fund also invests up to 30 percent of their assets opportunistically in other types of investments, including the securities of larger public companies and foreign securities. It also makes investments in the secondary loan market. The fund does not invest in start-up companies, turnaround situations, or companies with speculative business plans. The fund prefers to invest in high tech industries, healthcare, pharmaceuticals, business services, media, chemicals, plastic, rubber, telecommunication, consumer services, advertising, printing and publishing, consumer goods, durables, diversified financials, and other industries. It also invests in homebuilding, restaurants, beverage and tobacco bars, broadcasting, distributors, Non-durable good distribution, food beverage and tobacco, energy, oil gas and consumables fuels, insurance, aerospace and defense, industrial machinery, paper and forest product machinery, information technology, metals and mining, and real estate. It primarily seeks to invest in the United States. The fund seeks to invest between $5 million and $50 million in companies with an EBITDA between $25 million and $75 million with average targeted hold of $25 million. It also purchases minority interests in the form of common or preferred equity in the target companies, typically in conjunction with its debt investments or through a co-investment with a financial sponsor. The fund seeks to exit its investments through an initial public offering of common stock, a merger, a sale, or other recapitalization.