
European Seminar on Finance, Environment and Sustainable Development
10 January, 2003 | Paris, France
Overview
In this seminar, Europe's financial community came together to continue the ongoing process of turning finance into a driver for sustainable development.
Over three hundred bankers, insurers, asset managers, and government and civil society representatives from across Europe, North America, Asia, and Africa engaged in a lively discussion on Corporate Responsibility and Capital Markets, Qualitative Risk Management, and Climate Change.
Topics that were presented and discussed include:
- The Global Reporting Initiative (GRI) guidelines, which may serve as a reporting standard similar to those used in accounting.
- The Environmental Management and Reporting (EM&R) guidelines, which can provide a simple map for financial institutions to implement an EM&R system across business and operational functions, and can give practical advice on how to lessen environmental impact.
- The material financial impact of qualitative risk, seen in price valuations and the availability of credit and cover, compounded by greater regulatory overlay and liability issues.
- The definition of governance.
- The benefits and pitfalls that may arise when integrating sustainability criteria into a fund management strategy and the current state of the mainstream fund management sector and the relative performance of SRI funds.
- The risk posed to the finance, insurance and government sectors by Climate Change and Disaster Management.
Presentations
Keynote Presentations
- Philippe Citerne, Directeur Général Délégué, Société Générale
- Jacqueline Aloisi de Larderel, Assistant Executive Director, UNEP
- Elisabeth Guingand, Directrice de la Mission Développement Durable et Qualité du Groupe Caisse des Dépôts
Corporate Responsibility and Capital Markets
Chair: Hanns-Michael Hölz, Global Head Public Affairs & Environmental Coordination, Deutsche Bank; Co-Chair, UNEP FI
- The Power of Full Disclosure (PDF: 245 KB)
Dr. Allen White, Former CEO and Special Advisor to GRI, Global Reporting Initiative (GRI)
- Environmental Reporting Guidelines for the Global Finance Sector
Anthony Sampson, Director, Corporate Social Responsibility, AVIVA plc
- The New Challenges of Qualitative Risk Management (PDF: 28 KB)
Alan Banks, Group CEO, CoreRatings
- Sustainability - Getting it Right at the Level of the Financial System (PDF: 2.2 MB)
Brian Pearce, Director, Centre for Sustainable Investment, Forum for the Future UK Financial Institution Case Studies in Project and Portfolio Risk Management
Chair: François de Ricolfis, Medium and Long Term Director, Coface Integrating Sustainability Criteria into Fund Management
Chair: Carlos Joly, Senior Vice President, Storebrand; Co-Chair, UNEP FI Climate Change, Fiduciary Responsibility and Disclosure
Chair: Pierre Bollon, Délégué Général, Association Française de la Gestion Financière (AFG-ASFFI)
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