Webinars on demand on climate risk management and analytics.
Climate risk management: Effective planning for green finance and net zero
Tuesday, 28 September 2021, 2pm CET | 1pm BST
Green finance and net zero are two of the leading initiatives at banks in dealing with climate risk – arising both from consumer demand as well as push from government and regulators. At the same time, transition and physical risks are starting to make impacts on banks’ activities.
In this webinar, our expert speakers explore the main issues shaping climate agenda at both the regulatory and financial institutions and how they can best address them. We will also discuss how banks can better prepare to deal with future uncertainties as they prepare their portfolios for the journey towards a carbon free economy.
Climate risk analytics: Creating resilient infrastructure for stress testing and modelling
Thursday, 28 October 2021, 2pm CET | 1pm BST
As we ramp up on initiatives from regulators and banks for climate risk regulations, net zero commitments, stress testing, and managing stakeholder expectations, the financial industry is seeking data, methodologies, and execution details on how exactly to address these. In particular, regulatory climate risk stress testing/ scenario analysis is dominating the risk manager’s agenda. The reality is that there is little uniformity of approach or actionable clarity on how exactly to proceed.
In this webinar, experts explore industry issues and challenges in building and using models for climate risk and how advanced analytics and technology can go beyond identifying and managing climate risks to identifying growth opportunities.
**Please note, due to unexpected technical issues, the audio around 03:30-05:30 crackles. We apologise for the inconvenience, and hope that the slides provided can help you with the content.**
In collaboration with SAS Institute.