SEB Investment Management AB, a prominent player in the financial services industry, is headquartered in Sweden (SE) and operates extensively across the Nordic region and Europe. Founded in 1856, the company has established itself as a trusted asset manager, focusing on investment solutions that cater to both institutional and retail clients. Specialising in a diverse range of investment strategies, SEB Investment Management offers unique products such as equity, fixed income, and alternative investments. Their commitment to sustainability and responsible investing sets them apart in a competitive market. With a strong market position, SEB has achieved notable milestones, including recognition for excellence in asset management and a robust track record of performance. This dedication to innovation and client-centric solutions solidifies SEB Investment Management AB's reputation as a leader in the investment management sector.
How does SEB Investment Management AB'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 Financial Intermediation 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.
SEB Investment Management AB's score of 60 is higher than 79% of the industry. This can give you a sense of how well the company is doing compared to its peers.
SEB Investment Management AB, headquartered in Sweden, currently does not report specific carbon emissions data for the most recent year, as indicated by the absence of emissions figures. The organisation is a current subsidiary of Skandinaviska Enskilda Banken AB (publ), which may influence its climate-related initiatives and reporting. While there are no documented reduction targets or climate pledges from SEB Investment Management AB, it is important to note that emissions data and performance metrics may be inherited from its parent company, Skandinaviska Enskilda Banken AB (publ). This relationship suggests that any climate commitments or emissions reductions may align with the broader strategies of the parent organisation. As of now, SEB Investment Management AB has not established specific science-based targets (SBTi) or other formal reduction initiatives. The lack of detailed emissions data and reduction commitments highlights a potential area for future development in their sustainability strategy.
Access structured emissions data, company-specific emission factors, and source documents
| 2020 | 2021 | 2022 | 2023 | 2024 | |
|---|---|---|---|---|---|
| Scope 1 | 6,000 | 000,000 | 000,000 | 000,000 | 000,000 |
| Scope 2 | 2,674,000 | 0,000,000 | 0,000,000 | 000,000 | 0,000,000 |
| Scope 3 | 7,346,000 | 0,000,000 | 0,000,000 | 00,000,000 | 00,000,000,000 |
SEB Investment Management AB's Scope 3 emissions, which increased significantly last year and increased significantly since 2020, demonstrating supply chain emissions tracking. Nearly all of their carbon footprint comes from suppliers and value chain emissions, representing nearly all emissions under the GHG Protocol, with "Investments" being the largest emissions source at 100% of Scope 3 emissions.
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.
SEB Investment Management AB 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.