Natixis Investment Managers
Natixis Investment Managers, a prominent player in the financial intermediation services sector, is headquartered in the United States. Established in 2008, the firm has rapidly evolved, offering a diverse range of investment solutions across various asset classes. With a strong presence in North America, Europe, and Asia, Natixis is dedicated to delivering innovative investment strategies tailored to meet the unique needs of its clients.
The company’s core offerings include mutual funds, alternative investments, and customised portfolio management services, distinguished by their commitment to sustainability and responsible investing. Natixis Investment Managers has garnered recognition for its robust performance and client-centric approach, positioning itself as a trusted partner in the financial landscape. With a focus on long-term value creation, Natixis continues to achieve significant milestones, reinforcing its status as a leader in the investment management industry.
+10 vs industry average
Natixis Investment Managers’s score of 47 is higher than 63% of the industry. This can give you a sense of how well the company is doing compared to its peers.
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Industry Intensity
Financial Intermediation is among the least carbon-intensive industries
Industry performance
The Financial Intermediation industry has reduced its overall emissions by 33% since 2018
Emissions trajectory 2020 – 2026
Reported emissions
Scope 3 accounts for ••• of total emissions.
Natixis Investment Managers's reported carbon emissions
Natixis Investment Managers, a financial intermediation services provider headquartered in the US, reported total carbon emissions of approximately 39.4 billion kg CO2e for the year 2022. This figure encompasses Scope 1 emissions totalling around 1.7 billion kg CO2e, Scope 2 emissions of approximately 27 billion kg CO2e, and Scope 3 emissions amounting to about 5.4 billion kg CO2e.
For 2023, Natixis Investment Managers reported Scope 1 and 2 emissions of approximately 123.2 million kg CO2e. Data for Scope 3 emissions was not provided for this year, but there was a specific mention of missing data for "purchased goods and services" in 2023.
In terms of climate commitments, Natixis Investment Managers, as part of Groupe BPCE, has committed to a long-term target aligned with the Net Zero Emissions scenario by 2050. A near-term objective includes a 30% reduction in emissions between 2020 and 2030. The company's emissions data is cascaded from its corporate family, with its CDP reporting information originating from Groupe BPCE. Additional climate context includes a reported GHG intensity of 0.869 tonnes CO2e per million Euros of sales and a carbon footprint of 0.595 tonnes CO2e per million Euros of invested capital for the year 2024.
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Natixis Investment Managers’s Climate Goals (2030 & 2050)
2 goals2030
30% reduction in all scopes
h (target of the Net Zero Emissions scenario by 2050 according to the International Energy Agency) by 2030. In addition, Groupe BPCE will re…
2030
62% reduction in total GHG
Vs 2019 baseline. Validated by SBTi. Includes full supply chain.
2040
50% reduction in Scope 3 intensity
Across purchased goods and services and logistics.
See all 2 climate goals
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Scope 3 top emissions categories
14 of 15 categories disclosedSee all scope 3 categories
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Climate initiatives

Science Based Targets Initiative

Carbon Disclosure Project
Inherited from Groupe BPCEThe Climate Pledge
UN Global Compact Climate Champions initiative
RE 100
Climate Action 100
Emissions comparison with industry peers
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