المخرجات
BY THE END OF THIS COURSE, YOU WILL BE ABLE TO:» Protect the value of a bank’s asset portfolio, including that of its loan book.» Make sound investment and lending decisions from a more sustainable perspective.» Manage the risks associated with ESG-related issues, especially credit risk.» Apply solid sustainability research, including ESG quality, SDG impact and CO2 analysis, to underwriting and asset management businesses.» Interpret and overcome the quality issues related to ESG/SDG/CO2 data sets.» Implement a sustainable research, investment and selection process (from ESG/SDG analysis to engagement and proxy voting and reporting) in underwriting and asset management businesses.» Write a PRI report (as every PRI signatory is required to perform).» Design transparent sustainability reporting for your bank, fund, loan book, asset management company.
الفئة المستهدفة
» Portfolio/asset/fund managers.» Credit analysts.» Ratings advisors.» Equity analysts.» Credit risk professionals.» Asset owners.» Investment and commercial bankers.» Financial regulators.» Banking supervisors.