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ESG Risk Management - An Introduction

ESG Risk Management - An Introduction
  • Overview
  • Curriculum
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Objectives On completion of this tutorial, you will be able to:
  • Identify the key principles for effective ESG risk management in banking institutions
  • Recognize how the key traditional banking risks can be influenced by ESG factors
Tutorial Overview Identifying, assessing, and incorporating environmental, social, and governance (ESG) risks into their operations has become a key aspect of many banks' management strategies. This comes against a backdrop of increased scrutiny by governments, regulators, nongovernmental organizations (NGOs), and the general public over the role of the financial sector in addressing socioeconomic challenges and facilitating the growing opportunities for private players to explore new sustainability-related paradigms within their business plans. This tutorial introduces the key concepts associated with ESG risks and their management in the context of a banking institution. Prerequisite Knowledge Risk Management - Risk Types & Measurement Tutorial Level: Introductory Tutorial Duration: 60 minutes
  • 1 Sections
  • 2 Lessons
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ESG Risk Management - An Introduction

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