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Good practices for climate and nature risk management

2026

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AI-generated summary

1) This report provides a comprehensive overview of good practices for managing climate and nature-related risks, essential for financial institutions navigating evolving environmental challenges.
2) * Explores strategies for integrating climate and nature risks into business strategy, governance, and risk appetite frameworks.
* Details risk management processes, including materiality assessment, due diligence, risk classification, and the use of various tools and data sources.
* Covers capital adequacy, collateral valuation, credit loss estimation, and specific approaches for managing nature-related risks.
3) Climate risk, Nature risk, Risk management, Banking supervision, Good practices

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