Kronos Investment Group, often referred to as Kronos IG, is a prominent player in the investment management industry, headquartered in Spain (ES). Established in 2010, the firm has rapidly expanded its operational footprint across Europe and beyond, focusing on alternative investments and asset management. Kronos IG is renowned for its innovative approach to real estate investment, offering unique strategies that blend traditional asset management with cutting-edge technology. The company has achieved significant milestones, including notable partnerships and a diverse portfolio that underscores its market position. With a commitment to delivering exceptional value to its clients, Kronos Investment Group continues to set benchmarks in the industry, making it a trusted name for investors seeking robust and sustainable growth solutions.
How does Kronos Investment Group's carbon action stack up? DitchCarbon scores companies based on their carbon action and commitment to reducing emissions. Read about our methodology to learn more.
Mean score of companies in the Real Estate Services industry. Comparing a company's score to the industry average can give you a sense of how well the company is doing compared to its peers.
Kronos Investment Group's score of 29 is higher than 50% of the industry. This can give you a sense of how well the company is doing compared to its peers.
In 2024, Kronos Investment Group reported total carbon emissions of approximately 759,849,000 kg CO2e, with Scope 1 emissions at about 508,737,000 kg CO2e and Scope 2 emissions at around 251,112,000 kg CO2e. This marks an increase from 2023, where total emissions were approximately 614,085,000 kg CO2e, comprising about 392,395,000 kg CO2e in Scope 1 and around 221,690,000 kg CO2e in Scope 2. Kronos has set ambitious near-term targets to significantly reduce its carbon footprint. The company aims to achieve near-zero emissions for both Scope 1 and Scope 2 by the middle of this decade, specifically targeting a reduction timeline from 2023 to 2025. This commitment reflects a proactive approach to climate action, aligning with industry standards for sustainability. The emissions data is not cascaded from any parent organization, indicating that Kronos Investment Group independently reports its emissions and climate commitments. The company has not disclosed any Scope 3 emissions data, which typically includes indirect emissions from the supply chain and product use. Overall, Kronos Investment Group is actively working towards substantial emissions reductions, demonstrating a commitment to environmental responsibility and sustainability in its operations.
Access structured emissions data, company-specific emission factors, and source documents
| 2020 | 2021 | 2022 | |
|---|---|---|---|
| Scope 1 | 625,476,000 | 000,000,000 | 000,000 |
| Scope 2 | 198,192,000 | 000,000,000 | 000,000 |
| Scope 3 | - | - | - |
Climate goals typically focus on 2030 interim targets and 2050 net-zero commitments, aligned with global frameworks like the Paris Agreement and Science Based Targets initiative (SBTi) to ensure alignment with global climate goals.
Kronos Investment Group has not publicly committed to specific 2030 or 2050 climate goals through the major frameworks we track. Companies often set interim 2030 targets and long-term 2050 net-zero goals to demonstrate measurable progress toward decarbonization.
