How do you handle Sustainability Risk – Portfolio, loan book or strategy?

Join Dansif as they explore the new regulation on sustainability risk.

They will look at sustainability risks from both the lending and investment perspectives, as these are closely interlinked.

The regulation might be driven by EBA recommendations on risk, Solvency 2 updates or even SFDR, but the challenge remains the same: How do you put a number on the financial impact of sustainability risks, and how do you develop a strategy to manage them?

Agenda:

Welcome, Mikael Bek, Pensam, chairperson Dansif

Requirements to banks, pensions funds and insurance companies in the new regulation on sustainability risk
TBA

How data-flow on farmland help you to identify risk and document mitigation or even impact?
Head of Business Development Ph.d. Stephen Coen and Head of Research Ph.d. Hugh Sturrock, Senus Plc.

How we implemented the EBA-regulation on sustainability risk?
TBA

The financial implications of sustainability risks
Professor Lasse Heje Pedersen, Institut for Finansiering, CBS

Panel: How do we put a number on sustainability risk that makes sense?

  • Forsikring TBA
  • Afdelingschef for bæredygtighed Anna Maria Fibla Møller, AP Pension
  • Head of ESG Eric Pedersen, Nordea

Søren Larsen, Larsen Sustainable Finance, will be moderating the panel

Dato
22. oktober 2026 14:00
Lokation
Kosmopol - Dansif
Fiolstræde 44
København K
Danmark
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