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Guidelines on Environmental Risk Management (Banks), 2020

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Summary

These Guidelines aim to enhance the banking sector’s resilience to and management of environmental risk through setting out sound risk management practices.

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 0.28%
    • Low 0.00%
    • E focus: carbon intensity, climate change, climate risk, deforestation, degradation, emissions, energy, environment, greenhouse gas, land use, pollution, water, water risk, water scarcity, biodiversity
    • G focus: equator principles, risk management, audit
    • Finance, Management, Manufacturing, Mining