For Kartesia, ESG is a core dimension embedded in every decision. The firm believes that companies with strong environmental, social, and governance standards are not only better for society, but also typically better run, less exposed to long-term risks, and better positioned to deliver sustainable value.
As a major European private-credit manager with around €7.5 billion in assets under management across its 4 strategies, Kartesia aims to show how asset managers can use their capital to support decarbonization, resource efficiency, and climate resilience. This approach is particularly relevant in the broader European context, where asset managers collectively control roughly €33 trillion in assets. With such a scale, they play a central role in financing the economy and can help guide capital flows toward a climate-aligned transition.
Discover our full white paper on Kartesia's portfolio climate maturity in the document below.