Today I launch a new blog series to explore how ESG factors can be considered and integrated into different aspects of financial risk management. I am not a financial risk expert, but I am doing this series as part of my review for a risk management certification. I intend to use my research for this blog a learning tool for the certification exam so bear with me if my blog posts sound too elementary for your taste.
In this blog series, I will explore the potential integration of ESG in market risk management including stress testing and scenario building, operational risk, and credit risk. Not an easy task because of the absence of ways to test my theory, but not impossible either as I am undertaking a theoretical exploration and therefore, giving myself some creative license.
Join me in this latest blog adventure and who knows, we may both learn from it.