Medium Risk

BF INVESTMENT LIMITED

BF Investment Limited is in the business of investment and financing and is a core investment Company.

CIN: L65993PN2009PLC134021 FY: - Revenue: ₹132.8 Cr
5.0
ESG Risk
Score /10
Governance RiskEpr ExposureGhg Intensity

Risk Breakdown

GHG Intensity
5.0
Water Intensity
5.0
Waste Intensity
5.0
EPR Exposure
6.5
Compliance Risk
2.0
HR Risk
5.0
Governance Risk
8.0

Financial Exposure

Est. Compliance Cost₹0–1 crore
EPR ApplicableUnknown
Scope 1 Emissions— tCO2e
Scope 2 Emissions— tCO2e
Water Withdrawal— m³
Waste Generated— T

Governance

Anti-Corruption PolicyUnknown
Conflict of Interest PolicyUnknown
BRSR AssuranceNone
Assurance Provider

Double Materiality

Financial Materiality5.0
Impact Materiality4.5
QuadrantFinancially Material

Supply Chain

MSME Sourcing—%
Lifecycle AssessmentNo
Product ReclaimYes

Material Risks

e-waste

AI Risk Summary

BF INVESTMENT LIMITED carries a medium ESG financial risk score of 5.0/10. Primary risk drivers are governance risk, epr exposure. Estimated annual compliance cost exposure: ₹0–1 crore.

Source: BF INVESTMENT LIMITED BRSR Filing, FY -. Derived from the company's own public disclosures. Not investment advice or a regulatory determination.

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