Sofina SA - ESG Rating & Company Profile powered by AI
This assessment of Sofina SA was assembled by All Street Sevva using cutting edge machine learning. This page is a free Environmental, Social and Governance assessment for Sofina SA. This analysis of Sofina SA incorporates intelligence from across the web and also from available filings by Sofina SA.
Sofina SA in the Diversified Financial Services industry gained a UN SDG ESG Transparency Score of 2.0; made up of an environmental score of 1.0, social score of 4.0 and governance score of 1.1.
2.0
Low ImpactEnvironmental
Social
Governance
Peer Group Comparison
Rank | Company | SDG Transparency Score ⓘ | Performance |
---|---|---|---|
1 | Casa de Bolsa Ve por Mas SA de CV Grupo Financiero Ve por Mas | 8.0 | High |
1 | Banco do Nordeste do Brasil SA | 8.0 | High |
... | ... | ... | |
286 | China Success Finance Group Holdings Ltd | 2.1 | Medium |
286 | Viseca Holding AG | 2.1 | Medium |
289 | Sofina SA | 2.0 | Medium |
289 | OneVue Holdings Ltd | 2.0 | Medium |
289 | Bicecorp SA | 2.0 | Medium |
... | ... | ... | |
388 | Zhong Ji Longevity Science Group Ltd | 0.0 | Low |
388 | Ziyuanyuan Holdings Group Ltd | 0.0 | Low |
... | ... | ... |
Frequently Asked Questions
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Potential Risks for Sofina SA
These potential risks are based on the size, segment and geographies of the company.
Sofina Société Anonyme is a private equity and venture capital firm specializing in direct and fund of funds investments. Within direct investments, it specializes in growth capital, early, startup, later stages, mature, emerging growth, mid venture, late venture, industry consolidation, and LBO investments. The firm primarily invests in portfolio of companies that engages in digital transformation, consumer & retail, education, healthcare, energy and services, e-commerce, consumer goods, digital, satellite operations, industry, finance companies, and financial services worldwide. It also invests in the media, communications, insurance, property development sectors. The firm typically invests in European based companies with a global exposure, and it also has a particular focus on companies based in Western Europe and Asia such as in India, China and South East Asia and also in the United States. It invests between "75 million ($84.81 million) and "300 million ($339.2 million) in companies with an enterprise value between "250 million ($282.7 million) and "4500 million ($5088.41 million) in minority investments, and "15 million ($16.96 million) and "50 million ($56.54 million) in companies operating in emerging markets or fast growing sectors. It invests in privately owned and listed companies. It invests in private companies to support growth, finance acquisitions, give liquidity to existing shareholders/families, support sales processes, and make minority investment alongside shareholders controlling shareholders and in listed companies for replacement of existing shareholder, long term support of controlling shareholders, and delisting. Within fund of funds, the firm focuses on private equity, venture capital and growth equity funds, and selected relationships in buyout and special situations. It also manages funds in the fields of private equity and hedge funds. It typically invests in the US, Europe and Asia, and also concentrates on emerging markets. The firm makes between "10 million ($11.31 million) and "