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Guidelines on Environmental Risk Management (Asset Managers), 2020

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Summary

The Guidelines aim to enhance the resilience of funds (including REITs) and segregated mandates (hereinafter collectively referred to as “funds/mandates”) that are managed by asset managers, by setting out sound environmental risk management practices that asset managers can adopt.

Issuer

Singapore

Year

2020

Region

Asia

Issuer (type)

Monetary Authority of Singapore (Financial Regulator)

Instrument type

Guidelines

Disclosure instrument

No

Geographical scope

National

Mandatory or voluntary

Voluntary

Text analysis

    • Low 0.56%
    • Low 0.00%
    • E focus: climate change, deforestation, emissions, energy, environment, ghg emissions, green building, greenhouse gas, land use, pollution, waste, water, water management, water risk, water scarcity, water use, biodiversity
    • G focus: responsible investment, risk management, audit
    • Construction, Finance, Management, Real estate