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 54% of the industry. This can give you a sense of how well the company is doing compared to its peers.
In 2022, Kronos Investment Group reported total carbon emissions of approximately 601,052,000 kg CO2e for Scope 1 and about 159,806,000 kg CO2e for Scope 2. This reflects a decrease in emissions compared to 2021, where Scope 1 emissions were about 652,173,000 kg CO2e and Scope 2 emissions were approximately 187,165,000 kg CO2e. The trend indicates a commitment to reducing their carbon footprint, with significant reductions observed over the past few years. Kronos has set ambitious near-term targets to achieve net-zero emissions for both Scope 1 and Scope 2 by the middle of this decade, specifically aiming for reductions to near zero by 2025. This commitment underscores their proactive approach to climate action and aligns with industry standards for sustainability. The company does not currently report Scope 3 emissions, which encompass indirect emissions in the value chain. However, their focus on reducing direct emissions (Scope 1 and 2) demonstrates a clear strategy towards enhancing their environmental performance. Kronos Investment Group's emissions data is not cascaded from any parent organization, indicating that their reported figures are independently sourced. The company continues to prioritise sustainability and climate commitments as part of its operational strategy.
Access structured emissions data, company-specific emission factors, and source documents
2018 | 2019 | 2020 | 2021 | 2022 | |
---|---|---|---|---|---|
Scope 1 | 673,326,000 | 000,000,000 | 000,000,000 | 000,000,000 | 000,000,000 |
Scope 2 | 191,141,000 | 000,000,000 | 000,000,000 | 000,000,000 | 000,000,000 |
Scope 3 | - | - | - | - | - |
Companies disclose and commit to reducing emissions to show they are serious about reducing emissions impact over time. They can also help a company track its progress over time.
Kronos Investment Group is not participating in any of the initiatives that we track. This may change over time as the company engages with new initiatives or updates its commitments. DitchCarbon will update this information as it becomes available.