Tieron / Targeting
Reference catalog v1
Supply chain riskRubber Products

Rubber Products supply chain risk

Rubber Products carries a process risk of 54.8 out of 100 — the moderate band, and rank 23 of 33 sectors in the Tieron reference catalog. That figure is independent of location: it is what the work itself carries. Where you buy then moves the baseline from 33.0 in Denmark to 67.3 in Russia. Every figure below shows its weight and its source.

Sector risk
54.8
Moderate · rank 23 of 33
Highest baseline
67.3
Russia
Lowest baseline
33.0
Denmark
Axis covered
50%
of the risk axis by weight

What rubber products carries — five factors

Sector process risk, 0–100, before location. Sector risk: 54.8.

Sub-factorScoreRelative
Process hazard58.0
Labour intensity & informality55.0
Environmental load65.0
Upstream depth (tiers below)30.0
Regulatory exposure60.0

Every sourcing country, ranked for rubber products

Baseline risk for a supplier in this sector and that country, riskiest first. This is the sourcing-shift comparison: the same work, moved.

CountryBaselineCountry compositeBand
Russia67.379.9Elevated
Nigeria67.179.5Elevated
Philippines65.977.0Elevated
Turkey65.576.1Elevated
Indonesia64.774.6Elevated
Egypt64.674.5Elevated
India64.574.2Elevated
Ukraine64.473.9Elevated
ChinaUFLPA63.572.3Elevated
Thailand63.171.4Elevated
Kenya61.067.2Elevated
Malaysia60.967.0Elevated
Vietnam60.866.7Elevated
Hong Kong60.566.3Elevated
Sri Lanka60.365.9Elevated
Saudi Arabia60.065.1Elevated
Serbia58.862.8Elevated
Qatar58.562.2Elevated
Mexico57.660.4Elevated
Nepal57.059.2Elevated
United Arab Emirates57.059.2Elevated
South Korea56.958.9Elevated
Hungary56.057.3Elevated
Morocco55.355.9Elevated
Greece54.754.7Moderate
South Africa54.153.4Moderate
Israel53.652.5Moderate
United States51.548.2Moderate
Romania51.347.8Moderate
Poland49.744.6Moderate
United Kingdom49.143.4Moderate
Belgium45.736.7Moderate
Italy45.736.6Moderate
Canada45.335.7Moderate
Spain44.333.7Moderate
Portugal43.832.8Moderate
Czechia43.532.1Moderate
Taiwan43.331.8Moderate
Switzerland43.231.6Moderate
France41.928.9Moderate
Japan41.227.6Moderate
Australia40.325.8Moderate
Singapore40.025.2Moderate
Netherlands39.524.3Moderate
Finland36.919.1Moderate
Ireland35.416.1Moderate
Germany35.015.2Low
Sweden34.614.5Low
Norway34.113.5Low
Denmark33.011.3Low

What this page cannot tell you

Country and sector are 50% of Tieron’s risk axis by weight — the half that is knowable from public data alone. The rest is supplier-specific: conflict minerals exposure (weight 0.10), incident history (0.10) and information opacity (0.10). Two rubber products suppliers in the same country start from the number above and end up far apart. Impact — spend, substitution difficulty, continuity criticality — needs your own ledger.

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Other sectors

Process risk, highest first — independent of where you buy.

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Method: baseline risk is the weighted mean of country composite risk (weight 0.15) and sector risk (weight 0.15), using the same weights and the same weighted-mean form as the Tieron scoring engine restricted to those two factors. It is deterministic: the same inputs always produce the same number.
Sources — country: Tieron catalog v1 — CPI 2024 / ITUC 2025 / EPI 2024 / WGI RoL 2023. Sector: Tieron catalog v1 — 33-sector reference (v6). Country indices are published by their respective issuers; the sector reference is Tieron’s own catalog. Informational aid for supplier screening, not legal advice and not a statement about any individual company.