22nd Century Group
22nd Century Group Inc is a plant biotechnology company. It is focused on technology that allow to increase or decrease the level of nicotine and other nicotinic alkaloids in tobacco plants and levels of cannabinoids in cannabis plants.
We are in the process of aggregating 22nd Century Group Environment data. Want to contribute? let us know and we will work to get this profile updated.
We are in the process of aggregating 22nd Century Group Social data. Want to contribute? let us know and we will work to get this profile updated.
We are in the process of aggregating 22nd Century Group Governance data. Want to contribute? let us know and we will work to get this profile updated.
How ESG Agencies Rate 22nd Century Group
Refinitv scores are based on publicly-reported data, and consider ten key categories across ESG. The ESG pillar scores are a relative sum of the category weights and vary per industry for the 'E' and 'S' pillars. For 'G', the weights remain the same across all industries. The higher the score, the better.
S&P Global ESG Scores capture the nuances and differences of policies and programs and in-depth ESG information by directly engaging with companies and conducting independent research. Scores range from 0-100. The higher the score the better.
Sustainalytics assesses business risk driven by ESG issues. The rating combines an assessment of a company’s exposure to industry specific ESG issues with how well the company is managing those issues. The final scores are a measure of unmanaged risk on an absolute scale of 0-100. In this case, the lower the score the better.
ISS Governance Scores rate the quality of corporate governance for companies. Scores indicate rank relative to index or region. A score of 1 indicates lower governance risk, while a 10 indicates higher governance risk. In this case, the lower the better.
The MSCI ESG Rating is designed to measure a company’s resilience to ESG risks. They use a rules-based methodology to identify industry leaders and laggards according to their exposure to ESG risks and how well they manage those risks relative to peers. Their ESG Ratings range from leader (AAA, AA), average (A, BBB, BB) to laggard (B, CCC).