ESG risks for financial institutions: new hurdles, expectations and trends
Our new survey highlights important aspects of ESG risk management at financial institutions and emphasises key areas for development.
Quantifying ESG risks and integrating them into risk models is one of the biggest tasks for financial institutions. In addition, insufficient data makes it difficult to manage ESG risks in general and biodiversity risks in particular. In particular, the survey shows that many institutions have had to lower their expectations of fulfilling regulatory requirements.
Find out more about the key findings and practical recommendations from our experts.