FINANZ Podcast

How to integrate ESG into a traditional investment risk management framework - (EN)

Episode Summary

As socially responsible investing gains momentum, greater transparency is required in how environmental, social, and governance (ESG) criteria are applied and the effects they have. That means asset managers, who already face considerable regulatory pressure and constantly evolving reporting requirements, are also being called on to integrate ESG into the process of measuring and monitoring portfolio investment risk. In this talk, Pascal Glardon presents one possible investment risk management framework, taking into consideration a number of related issues such as the availability of non-standardized ESG data among various providers, technical requirements, and the complexity of multidimensional ESG reporting.