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Climate Risk Management & Stress Testing
21 April 2021 
11am (BST)

The webinar series is focused on progress towards the objectives of Mark Carney’s COP26 private finance agenda and the steps that banking and financial firms need to take in devising their strategies for supporting the transition to a net zero economy.

17 March – Board Responsibilities& Reporting Considerations

21 April – Climate Risk Management & Stress Testing

19 May – Latest Developmentsin TCFD Reporting

23 June – Transition to Net Zero

 

The 21 April webinar specifically will cover:

·        Financial risks and impacts of climate change(physical & transitional risks)

·        Regulatory policy response and regulations

·        Climate scenarios overview

·        Approach to climate risk stress-testing

Speakers:

Presenter
Paul Chisnall
Director, Sustainability
UK Finance
View Biography
Presenter
Khadija Ali
Associate Partner, Banking and Capital Markets Sustainability
EY
View Biography
Presenter
Lionel Stehlin
Associate Partner, Financial Services Risk Management
EY
View Biography
Presenter
Andre Correia Dos Santos
Partner, UK Risk
EY
View Biography
Presenter
Ben Carr
Analytics and Capital Modelling Director
Aviva plc
View Biography
Presenter
Daniel Klier
Global Head of Sustainable Finance
HSBC
View Biography
Presenter
Andre Abadie