GMI's Risk List contains companies receiving our lowest rating – “F.” Inclusion on The Risk List represents analysis covering an array of environmental, social and governance (ESG) and accounting issues (what we call ESG+ when added to ESG.) Key risk issues are summarized in this report, with greater detail available via our new ESG+ research platform, GMI Analyst.
The new report identifies ten of GMI’s most poorly rated firms in North America. They were selected to highlight issues that investors, fiduciaries and others need to address in making decisions and managing risk. ESG risk factors impact long term company valuations and the cost of capital, and are being used by investors and others – including corporations – to complement traditional valuation models and company disclosures.
Download the report, GMI's Risk List, by filling out the form below.