ESG risk management

Landschaft mit Dürre und Überflutung als kombinierte physische Klimarisiken
Banking & Financial System, Climate Risks, Risk Management

Compound Climate Risks – An Underestimated Risk Driver for Regional Credit Institutions

When the water level of the Rhine remained exceptionally low for several weeks in the summer of 2022, shipping, industry and logistics came under significant pressure. Production outages, delivery delays and rising transport costs had a tangible impact on companies along value chains. These effects did not result from a single extreme event, but from […]

Compliance mit Bankenregulierung für ESG-Risikomanagement
Banking Regulation, ESG & Sustainable Finance, Sustainable Transformation

Managing ESG Risks in Line with Supervisory Expectations – Guidance for Regional Financial Institutions

Since the term ESG (Environmental, Social, Governance) gained prominence in the early 2000s, ESG-related issues have become increasingly relevant for the European financial sector. The year 2026 marks another regulatory milestone: ESG risks are to be embedded even more systematically into banks’ overall governance and strategic orientation. With the European Banking Authority (EBA) Guidelines on

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