The IMF is adding climate-related factors to its existing stress-testing methodology to help government and private-sector leaders prepare for potential financial shocks.
February 8, 2020Supervised institutions are expected to integrate climate-related risks and considerations into their business strategies and risk management practices, BNM says.
January 2, 2020There is significant interest among asset management firms to step up their ESG efforts and management of environmental and climate risks, an SFC survey has found.
December 17, 2019In a new report, WWF Singapore says ASEAN financial regulators and banking associations are increasing their expectations on banks to assess and mitigate climate and environmental risk.
December 10, 201999.8% of SGX listed companies have produced sustainability reports, according to a joint review conducted by SGX RegCo and the Centre for Governance, Institutions and Organisations.
December 4, 2019The discussion document sets out a proposed mandatory regime which seeks to ensure that material risks and opportunities are routinely considered in business and investment decisions.
November 6, 2019The guide identifies the five most common 'sustainable and responsible investment' strategies used in central bank portfolio management.
October 21, 2019Speaking at the Summit, BOE governor Mark Carney lauded Japan's support for the TCFD, but said more needs to be done globally to enhance climate-related financial disclosures.
October 9, 2019Malaysia's central bank will use the reported data to set new regulatory standards that better reflect the risks from climate-related exposures.
October 2, 2019Banks need to act now to minimise future climate-related costs and the impact on their creditworthiness, says a new report from S&P Global Ratings.
September 16, 2019