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Company ESG Risk Ratings

Alphatec Holdings, Inc.

Industry Group: Healthcare

Country/Region: United States of America

Identifier: NAS:ATEC

Alphatec Holdings Inc is a medical technology company focused on the design, development, and advancement of products for the surgical treatment of spinal disorders associated with disease and degeneration, congenital deformities, and trauma. The company's spine approach technologies include Posterior Cervical Fusion, Anterior Cervical Discectomy and Fusion, Lateral Interbody Fusion, and Posterior Lumbar Interbody Fusion among others.

Full time employees: 705

ESG Risk Rating


High Risk


Industry Group (1st = lowest risk)


464 out of 597


Global Universe

11608 out of 15343











Last Full Update: Sep 23, 2022 

Last Update: Apr 20, 2023 

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Sustainalytics' Peer Performance Insights gives an in-depth analysis of your company's ESG strengths and weaknesses compared to your competitors and industry performance. These insights can be used to identify areas of ESG improvement to help inform future management decisions that align with your organization's sustainability goals.

Our Approach to Calculating ESG Risk

The ESG Risk Ratings measure a company's exposure to industry-specific material ESG risks and how well a company is managing those risks.


Exposure refers to the extent to which a company is exposed to different material ESG issues. Our exposure score takes into consideration subindustry and company-specific factors such as its business model.

Alphatec Holdings, Inc.'s Exposure is Medium


Management refers to how well a company is managing its relevant ESG issues. Our management score assesses the robustness of a company's ESG programs, practices and policies.

Alphatec Holdings, Inc.'s Management of ESG Material Risk is Average

How do the ESG Risk Ratings work?

Controversy Rating

Highest Controversy level that has impacted Alphatec Holdings, Inc.'s ESG Risk Rating in the last three years


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The ESG Risk Ratings can help investors to identify, understand and manage ESG risks at the security and portfolio level with the aim of improving the long-term performance of their equity and fixed income securities.

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