StoneCastle Financial CorpStoneCastle Financial Corp - ESG Rating & Company Profile powered by AI

Industry Group:Closed End Funds

Full ESG analysis of StoneCastle Financial Corp can be reached by signing in. The SDG score for StoneCastle Financial Corp represents its reporting of the United Nations SDGs. If you work at StoneCastle Financial Corp and you would like to use your ESG rating, please get in touch.

StoneCastle Financial Corp in the Closed End Funds industry gained a UN SDG ESG Transparency Score of 2.3; made up of an environmental score of 1.3, social score of 3.2 and governance score of 2.3.

SDG Transparency Score for StoneCastle Financial Corp 

2.3

Low Impact
0 - 3
Medium
4 - 6
High
7 - 10
Last Score Update: 2023-07-01
What drives the score for StoneCastle Financial Corp 
1.3

Environmental

3.2

Social

2.3

Governance

Detailed ESG Breakdown
SEVVA Platform offers unique drill down to the underlying sources powering the ratings. Break down your ESG analysis by 17 UN SDGs and 8 additional governance factors.

Peer Group Comparison

RankCompanySDG Transparency Score Performance
1Aberdeen Greater China Fund Inc
8.0
High
1Alternative Asset Opportunities PCC Ltd
8.0
High
.........
242Ravensource Fund
2.4
Medium
242Zhongrong GEM 2 Years Regular Open Mixed Securities Investment Fund
2.4
Medium
252StoneCastle Financial Corp
2.3
Medium
252Great Elm Capital Corp
2.3
Medium
252First National Mortgage Investment Fund
2.3
Medium
.........
376Wells Real Estate Fund XIII L P
0.0
Low
376Yield Advantage Income Trust
0.0
Low
.........
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Peer Companies Benchmark
SEVVA Platform benchmarks each company against a peer group. View the full score distribution for peers by logging into SEVVA

Frequently Asked Questions

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Potential Risks for StoneCastle Financial Corp
These potential risks are based on the size, segment and geographies of the company.

StoneCastle Financial Corp. is a closed ended balanced mutual fund launched and managed by StoneCastle Asset Management LLC. It invests in public equity markets of the United States. The fund invests in stocks of companies operating across the banking sector. It invests in dividend paying growth and value stocks of companies. For its fixed income portion, the fund invests in subordinated debt securities which are rated BBB- or better by Kroll Ratings. The fund employs fundamental analysis with bottom-up security picking approach by focusing on factors such as review of historical and prospective financial information, interviews with management and key employees of the prospective bank, financial models and projections, changes in interest rates, changes in unemployment rates, changes in home prices, changes in economic activity to create its portfolio. It employs proprietary research to create its portfolio. StoneCastle Financial Corp. was formed on February 7, 2013 and is domiciled in the United States.

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