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Well below 2°C
CIP-043 · NYSE / TSX · North America
GFL Environmental
GFL·Waste Management·Waste & Methane Credit ProducerBRisk: Medium
Waste services company with landfill gas, recycling, RNG, and circular economy relevance.
CIP Price · Simulated
119.16
-4.80% · 3M
Source: seeded estimate
Key scores and index weight
CIP Score
73.7
C100 · Rank #43 of 100
Carbon Score
74
Producer
Sentiment
+54
net controversy-weighted
Index Weight
0.89%
quarterly rebalance
Price history and score profile
Price history
119.16
-4.80%
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Score profile · 8 dimensions
Sentiment trend and carbon flows
Sentiment trend · 60d
Carbon flows
- Credits Produced0 k tCO₂e
- Credits Retired0 k tCO₂e
- Financial Strength70 / 100
- Innovation Score73 / 100
- Transition Score80 / 100
- Quality Score74 / 100
DATA TIER · Seeded v0 - requires live registry and disclosure joins
Sector peers
Sector peers — Waste Management
View full index →| # | Company | Grade | Score | Weight | 24h |
|---|---|---|---|---|---|
| 40 | WCN Waste Connections | A | 75.5 | 1.11% | +2.06% |
| 53 | CWST Casella Waste Systems | B | 71.7 | 0.79% | -1.95% |
| 56 | CLH Clean Harbors | B | 71.5 | 0.99% | +1.82% |
| 34 | RSG Republic Services | A | 76.3 | 1.13% | -1.52% |
| 27 | WM Waste Management | A | 77.4 | 1.20% | +0.12% |
Fundamentals and technicals
Fundamentals
est. · v0 seededMarket Cap$2554.5B
Revenue (TTM)$211.1B
P/E Ratio32.4
EPS (TTM)$9.37
Dividend Yield1.16%
Beta1.86
Gross Margin50.8%
HeadquartersToronto, Canada
Listed (IPO)—
Employees39,338
IndustryWaste Management
ExchangeNYSE / TSX · GFL
Scope 1+2 (kt)5,376
Scope 3 (kt)19,814
Technicals
est. · v0 seededHold
111.35
-1.45% intraday
Open113.28
Prev Close112.99
Day Range111.35 – 113.28
52w Range109.32 – 129.99
Volume4,558,121
Avg Volume6,912,462
SMA 20113.45
SMA 50114.54
SMA 200119.92
RSI (14)48.8
MACD / Signal-0.34 / -0.31
Volatility (30d)34.4%
Sustainability & CDP profile · GFL Environmental
Curated, on-demand from the Carbon Index Protocol database.
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SBTi Target Module · GFL Environmental
Calculated 1.5°C-aligned target stack · Absolute Contraction Approach · base year 2020.
SBTi status
Validated
Targets validated by SBTi
Net-zero year
2046
Residual ≤10% via removals
Required pace
-3.46%/yr
Modelled: -2.93%/yr
Near-term · 2030
Scope 1+2 base6,344 kt CO₂e
Scope 1+2 target (-42%)3,680 kt CO₂e
Scope 1+2 today5,376 kt CO₂e
Scope 3 target (-25%)16,644 kt CO₂e
Long-term · 2046
Total base (S1+2+3)28,536 kt CO₂e
Net-zero target (-90%)2,854 kt CO₂e
Total today25,190 kt CO₂e
Ambition gap+0.53 pp/yr
Decarbonisation pathway
Total scope 1+2+3 trajectory · 2020 → 2046 · kt CO₂e
SBTi 1.5°C required Modelled trajectory
- ›Methodology: SBTi Absolute Contraction Approach, 2020 base year, 1.5°C pathway.
- ›Scope 1+2 near-term: 4.2%/yr linear (= 42% by 2030).
- ›Scope 3 is material (>40% of footprint) — SBTi requires near-term 2.5%/yr scope 3 reduction.
- ›Long-term: -90% absolute by 2046; residual ≤10% neutralized by durable removals.
Data provenance & validity
Methodology is valid — calculations follow the SBTi Corporate Net-Zero Standard v1.2 (Absolute Contraction Approach: −4.2%/yr scope 1+2, −2.5%/yr scope 3, 90% absolute reduction by net-zero year).
Inputs are modelled, not audited disclosures. Scope 1/2/3 baselines, net-zero year, and SBTi status are deterministically derived per ticker from fundamentalsFor() in src/lib/ci100-fundamentals.ts (seeded by ticker + transition score). Replace with CDP / company-disclosed inventory data for verified results — wire real values into fundamentalsFor() and this module recomputes automatically.
External research · GFL Environmental
Markets & filings
Climate disclosures
Market data unavailable — showing v0 seeded estimates. ESG grade, CIP score, sentiment and carbon flows are Carbon Index Protocol curated data, not market data.