Webinar | February 27, 2025
Assessing Nature Risk
Join us for an exclusive webinar on Nature Risk assessments for banks. With the ECB expecting banks to fully comply with supervisory expectations on climate and environmental risk management by the end of this year, establishing a robust nature risk modelling framework is becoming essential. In this session, we’ll explore the key components of nature risk, the ECB’s expectations, and the broader regulatory landscape. We’ll also discuss practical approaches to nature risk modelling, including data collection and stress testing.
- Speakers: Kamuran Emre Erkan and Dr. Gerrit Jan van den Brink
- Moderated by: Gerd-Jan van Wiggen
- Date: February 27, 2025
- Time: 08:15 – 09:00 am
What to expect:
During our webinar, we will discuss the following topics:
- Explanation of nature degradation and nature risk
- ECB expectations and the Basel framework on nature risk, along with key takeaways
- Sectoral dependencies on nature risk and its relevance for banks
- A general formulation of nature risk modelling for physical and transition risk
- Scenario generation for scenario analysis and stress testing
- Main data sources for nature risk modelling
Why participate:
Join this webinar to enhance your understanding of nature risk and gain insights into modeling its impact on banks’ portfolios. Here’s what you’ll take away:
- Actionable Knowledge: Practical insights for risk management professionals and ESG modellers on integrating nature risk into banks’ climate and environmental risk management frameworks.
- Meet Regulatory Demands: A clear understanding of how to comply with ECB supervisory expectations and EU regulations on nature risk.
- Stay Ahead of the Curve: Equip your organization with the necessary tools and strategies to proactively manage nature-related financial risks.