Discussion Paper on management and supervision of ESG risks for credit institutions and investment firms (EBA/DP/2020/03)

  • Discussion
  • 15 NOVEMBER 2021

This Discussion Paper provides a comprehensive proposal on how ESG factors and ESG risks could be included in the regulatory and supervisory framework for credit institutions and investment firms. The paper identifies for the first time common definitions of ESG risks, building on the EU taxonomy and an overview of current evaluation methods. It also outlines recommendations for the incorporation of ESG risks into business strategies, governance and risk management as well as supervision.

Responses

The form is now closed.

Received responses to the EBA