Tata Investment Corporation Limited has been assigned an ESG risk rating of 25.4 by Morningstar Sustainalytics, placing it in the 'Medium Risk' category. This rating reflects moderate exposure to environmental, social, and governance risks based on FY 2023-24 data. While it highlights areas where the company can improve its ESG practices, the current risk level does not signal significant challenges that would affect its operational stability or borrowing costs. Investors can view this as a benchmark of Tata Investment’s ESG profile, with manageable risks that are unlikely to influence its strategic or financial positioning in the near term.