Banking in transition Episode 54: Assessing climate risk in loan portfolios episode artwork

EPISODE · Oct 19, 2021 · 11 MIN

Banking in transition Episode 54: Assessing climate risk in loan portfolios

from The Banker Podcast

Against a backdrop of climate stress tests and pressure from a wide range of stakeholders, understanding and quantifying the amount of climate risk present in loan books is increasingly important for banks. David Glendinning, UK Head of Risk at Societe Generale discusses the key considerations and developments underway in this area with Marie Kemplay.The Banker has been a trusted source of global banking information since 1926, subscribe now to get expert news, opinion and insight into the banking industry. Hosted on Acast. See acast.com/privacy for more information.

Episode metadata supplied by the publisher feed · Published Oct 19, 2021

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Banking in transition Episode 54: Assessing climate risk in loan portfolios

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