R-Factor™ - A Roadmap to Build Sustainable Companies
State Street Global Advisors’ R-Factor™ ESG score supports the development of more sustainable capital markets.
What is R-Factor™?
Responsible investing requires a tool to measure the performance of a company's business operations and governance as it relates to financially material ESG challenges facing the company's industry. We refer to this scoring mechanism as the Responsibility Factor, or R-Factor™.
R-Factor™ scores draw on multiple data sources and leverage widely accepted, transparent materiality frameworks from the Sustainability Accounting Standards Board (SASB) and corporate governance codes to generate a unique ESG score for listed companies.
How R-Factor™ Builds Sustainable Companies
R-Factor™ is the first ESG scoring system that offers companies a roadmap on how to manage and disclose their ESG practices, allowing them to take the action needed to enhance their scores. It is built to address the current challenges with ESG data by removing opaqueness around ESG materiality in the scoring process.
Put simply, it takes the guesswork out of ESG reporting, and focuses boards and management teams on the core ESG issues that matter for business and investors. Small, mid-cap, and emerging market companies stand to particularly benefit from R-Factor™because of its focused approach.
The world of ESG disclosure may seem complex – but with R-Factor™, companies and investors no longer have to go it alone. Together, we can forge a new standard in ESG investing.
Companies interested in receiving their R-Factor™ scores should submit an email request to firstname.lastname@example.org including the following information:
Company’s legal name
Company’s headquarter location
Contact’s Title at Company
Contact email address (must be an official company email address)
(Please note that R-Factor™ scores will be provided only to employees affiliated with a company’s Investor Relations, Chief Financial Officer, ESG/Sustainability Leadership or General Secretary’s organizations. Please include attestation in your email stating that you are affiliated with one of these functions.)
Scores are provided within two weeks of submission and include disclosure about your company’s score relative to regional and global peers, as well as frequently asked questions.
Guidance on Next Steps After Receiving Your Score
We encourage you to explore the publicly available frameworks of the Sustainability Accounting Standards Board (SASB) and your region’s corporate governance code to understand investors’ expectations around the management of financially material ESG issues facing your industry and region. We have also provided responses to frequently asked questions about R-Factor.
You may also wish to review SASB’s implementation primer, a reference document for companies that have chosen to integrate SASB standards into their core communications with investors. The implementation primer is available here: https://www.sasb.org/implementation-primer/
Corporate governance codes are made publicly available by the relevant regulator / investor network
You should obtain and read a Key Investor Information Document and Prospectus relating to the SSGA Cash funds prior to investing. Further information, including the annual and semi-annual reports and the Key Investor Information Document and Prospectus describing the characteristics, charges, expenses and risks involved in your investments are available for residents of countries where SSGA cash funds are authorized for sale, at www.ssga.com/cash and from your local SSGA office or by calling +44 (0)20 3395 2333.
Investing involves risk including the risk of loss of principal. It is possible to lose money by investing in the funds.
Before investing, carefully consider a fund's investment objectives, risks, charges and expenses. Click the link to obtain a prospectus which contains this and other information, or by calling +44 (0)20 3395 2333, please read it carefully before investing.
SSGA LPLC UCITS
State Street Global Advisors Liquidity Public Limited Company ("the Company") is an umbrella type investment company with variable capital having segregated liability between its sub-funds. The Company is organised as an Undertaking for Collective Investment in Transferable Securities (UCITS) under the laws of Ireland and authorised as a UCITS by the Central Bank of Ireland.
This website is directed at Qualified Investors only, as defined by Article 10(3) and (3ter) of the Swiss Collective Investment Schemes Act (“CISA”) and its implementing ordinance. Certain funds may not be registered for public distribution with the Swiss Financial Market Supervisory Authority (FINMA), which acts as supervisory authority in investment fund matters, or may not have appointed a Swiss Representative and Paying Agent. For those funds which have appointed a Swiss Representative and Paying Agent, the prospectus, the articles of incorporation, the Key Investor Information Document (KIID) as well as the latest annual and semi-annual reports may be obtained free of charge from the Swiss Representative and Paying Agent, State Street Bank International GmbH, Munich, Zurich Branch, Beethovenstrasse 19, 8027 Zurich, or at www.ssga.com, as well as from the main distributor in Switzerland, State Street Global Advisors AG (“SSGA AG”), Beethovenstrasse 19, 8027 Zurich. For those funds which have not appointed a Swiss Representative and Paying Agent, please observe that the funds are open to Qualified Investors at the exclusion of Qualified Investors with an opting-out pursuant to Art. 5(1) of the Swiss Federal Law on Financial Services ("FinSA") and without any portfolio management or advisory relationship with a financial intermediary pursuant to Article 10(3ter) CISA (“Excluded Qualified Investors”). For further information and fund documents please contact SSGA AG.
You should obtain and read the sales prospectus and relevant Key Investor Information Document (KIID) prior to investing, which may be obtained by clicking here. These include further details relating to the State Street Global Advisors Liquidity Public Limited Company funds, including information relating to costs, risks and where the funds are authorised for sale.