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Updated Guide to Managing Climate and Nature-Related Risk
This updated guide from the Dutch central bank provides supervisory expectations for financial institutions regarding climate and nature-related risks. It emphasizes governance frameworks, scenario analysis, nature-risk taxonomy, disclosures, and integration of biodiversity/natural-capital concerns alongside climate. It indicates how insurers, banks and asset-managers must incorporate natural-system dependencies into risk frameworks and corporate strategy.
Notes on Related Topics
Long-Term Value & Business Strategy (A) – The guide emphasizes that firms must think beyond short-term horizons and embed nature-related risks into strategy and oversight.
Legal Risk or Uncertainty (A) – Increasing regulatory expectations create legal and compliance risk for firms that fail to integrate natural-system risk into corporate governance.


