This webinar recording will explore key climate and nature risks, their potential evolution and the implications for the financial sector.
We will then consider how banks and insurance companies manage climate related risks, in order to ensure their resilience and in light of increasing regulatory expectations and market scrutiny.
Key Benefits
- Gain insights into the latest climate and nature risk developments.
- Understand how these risks affect the real economy and the financial sector
- Learn how leading institutions are responding to climate risks.
- Explore latest regulatory expectations.
Resources
First broadcast 12 September 2025
Continuing professional development
This webinar has the potential to contribute up to 1 hour of verifiable CPD, provided you can demonstrate its relevance to your role. Please click the widget on this page to add it to your CPD record.