ESG Risk Management - Part 3
概要
This eCourse consists of two modules. Module focuses on ESG risk measurements. ESG risk measurement requires meticulous assessment and analysis focused on identifying how environmental, social, and governance factors could potentially impact a bank’s operations, sustainability, and overall success. However, the nature of ESG risk, and its many different components or risk factors, means that measurement is a complex and challenging task for banks. This module describes these challenges in detail, as well as the various risk measures that have emerged for each of the components of ESG.
Module 2 covers ESG Risk Management. It provides an overview of the approaches banks are taking to managing ESG risk, as well as the associated reporting and disclosure frameworks and requirements.
宗旨
On completion of this tutorial, you will be able to:
- Recognize the many ESG risk measurement issues and challenges that banks face, including those related to the use of ESG data
Identify the various risk measures used to assess the E, S, and G components of ESG
- Recognize the various ways in which banks are approaching the management of ESG risks
- List the key ESG reporting frameworks and standards that are relevant to banks and the ongoing issues and challenges that banks face in relation to such reporting
內容
Module 1: ESG Risk - Measurement
Topic 1: Overview of ESG Risk Measurement
Topic 2: ESG Risk Measures
Module 2: ESG Risk - Management
Topic 1: Managing ESG Risk
Topic 2: ESG Reporting & Disclosure
