Our Latest Publications

Based on EthiFinance’s 2023-2025 ESG ratings database, this study examines how European companies are addressing corruption risk through formal policies, whistleblowing systems and employee training. Covering 2,351 European companies, with a dedicated focus on 1,436 companies operating in countries exposed to corruption risk, the study highlights key trends, progress made and remaining [...]

This EthiFinance study examines how biodiversity loss and ecosystem degradation can translate into financial risk for CAC 40 companies. Based on a biodiversity stress-test methodology, it assesses how biodiversity-related shocks may affect companies’ value chains, sector exposure, and potential credit resilience.

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Based on EthiFinance’s 2025 ESG Ratings database, this report analyses the ESG performance of more than 2,000 European small and mid caps. It highlights a clear trend: while ESG scores continue to improve, maturity remains uneven across pillars. Inside the report:

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Download our free analysis to explore the main proposed changes under SFDR 2.0, their implications for asset managers, and the questions worth addressing now.  What you will find :  

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Cyber risk is a core business issue, but how mature are companies really when it comes to managing it? Based on EthiFinance data, this report provides a practical overview of how listed European companies address cybersecurity risk and where key gaps remain.  What you will find: 

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