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LOTTE CORPORATION

  • ISIN: KR7004990008
  • |
  • TICKER: A004990 (Korea Exchange KSE)

Sector: Industrial Goods & Services


Lotte Corporation is a Korean multinational conglomerate.

TOTAL ESG INVESTMENT

At least
482.28K

HARMFUL PROJECTS

OTHER ALLEGATIONS

More information on the company’s human rights impacts worldwide can be found here.

ESG INVESTMENT IN LOTTE CORPORATION

ESG investment data current as of 03/06/2025
ESG INVESTMENT FUNDS THAT OWN SHARES IN LOTTE CORPORATION
Fund Name Asset Manager Index Provider Market Value (USD)
iShares MSCI EM IMI ESG Screened UCITS ETF USD A Blackrock Asset $227,019.65
KB RISE ESG SRI ETF KB AM $99,782.20
L&G Qlty Eq Div ESG Ex AsPac exJp UCITS ETF USDDis LGIM Managers $59,497.77
HSBC MSCI Em Mkts Small Cap ESG UCITS ETF USD Acc HSBC Investment $26,569.51
L&G FW ESG Tilted and Opt EM Idx I Acc Legal & General $16,632.84
Korea Investment ESG Equity 1 Class A Korea Investment Mgmt $20,401.14
VI FOCUS ESG Leaders150 ETF VI Asset $15,160.48
L&G Emerging Markets Eq ESG Future Core Z USD ACC LGIM Managers $5,430.53
Hanwha PLUS ESG Growth Active ETF Hanwha AMC $5,558.84
All World Screened Index Equity Sub-Fund SSGA $3,590.68
Hanwha PLUS ESG Value Active ETF Hanwha AMC $2,639.05

Show all funds
MAJOR ESG INDEX PROVIDERS THAT DIRECT FUNDS TO LOTTE CORPORATION

MSCI

At least

$0

FTSE

At least

$0

S&P

At least

$0

KEY ESG RATINGS
MSCI ESG Score:

N/A

Range:

CCC (worst) to AAA (best)

S&P Global ESG Score

30

Range:

0 (worst) to 100 (best)

Sustainalytics ESG Score

13.6

Range:

0 (negligible risk) to 40+ (severe risk)

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