OMCC

Old Market Capital Corporation (OMCC) ESG Analysis Analysis (2026)

Invetso Score: 6.5/10 — Balanced · Last Updated: 2026-09-01

Monthly Update

No material changes this month.

Environmental

Score: 6.2 (Moderate)

OMCC’s zero reported R&D intensity suggests limited direct environmental innovation spending versus peers, which can constrain product-led decarbonization initiatives.

The company’s low debt-to-equity ratio supports capital flexibility for environmental compliance and efficiency investments, but this is a balance-sheet feature rather than an ESG differentiator.

No post-August 2025 filing evidence was provided on emissions, energy use, or waste, so environmental positioning versus peers remains difficult to verify.

Relative to peers with disclosed climate targets and operational emissions metrics, OMCC appears less transparent on environmental management, which increases disclosure risk.

Social

Score:

OMCC’s 4.9% stock-based compensation to revenue indicates moderate employee alignment, but it is not enough alone to signal stronger workforce practices than peers.

No filing-based evidence was provided on safety, turnover, training, or labor relations, limiting confidence in OMCC’s social performance relative to peers.

The absence of disclosed social metrics reduces comparability against peers that report workforce and community indicators, which can elevate stakeholder scrutiny.

Without controversy evidence or sector-specific social disclosures, OMCC appears broadly in line with average peer practice rather than clearly advantaged.

Governance

Score:

OMCC’s very low debt-to-equity ratio suggests conservative capital structure discipline, which generally reduces creditor pressure and supports governance resilience versus leveraged peers.

Negative net debt to EBITDA indicates net cash positioning, which can lower refinancing risk and give management more flexibility than debt-heavy peers.

The 4.9% stock-based compensation level is moderate, implying some alignment between management and shareholders without the dilution burden seen at more aggressive peers.

No filing-based evidence of governance controversies, restatements, or board failures was provided, so OMCC screens as cleaner than peers with known governance issues.

Overall Score

Score:

OMCC’s ESG profile is mixed, with stronger governance resilience from conservative leverage but only moderate environmental and social transparency versus peers.

Score Driver: Governance Strength From Low Leverage And Net Cash Position

Sources

  • Company filings (10-K, 10-Q, investor presentations)
  • Financial and market data providers
  • Public news and industry information

🔒 Go Beyond This Framework

This is one of 10 institutional-grade frameworks Invetso runs on Old Market Capital Corporation. Unlock the complete analysis — SWOT, Economic Moat, Porter’s Five Forces, Management, PESTLE and the Invetso Quality Score.

Create your free account on Invetso →