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How Canadian Financial Institutions Evaluate ESG Risk
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1 Articles
1 Articles
How Canadian Financial Institutions Evaluate ESG Risk
ESG risk Canada has moved from sustainability reports to boardroom strategy. Canadian financial institutions now treat environmental, social, and governance risks as core financial risks. Climate volatility, regulatory reform, and investor scrutiny continue to reshape how banks and pension funds evaluate exposure. In recent years, Canadian regulators have accelerated expectations. OSFI introduced Guideline B-15 on climate risk management. Meanwh…
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