Integrating sustainability objectives and/or sustainability-related financial risks into reserve portfolios: Practical strategies for central banks
PanelFuture-Ready Reserve Management
2025-06-12 | 11:30 AM - 12:30 PM | Gladstone library
Information
- Identify the risk and impact drivers behind central banks' adoption of SRI and navigate legal frameworks to align SRI strategies with institutional mandates
- Customise SRI approaches for FX, funds, and pension portfolios to maximise sustainability impact within each asset class's constraints and opportunities
- Apply actionable methods like negative screening, ESG integration, and impact investing to build resilience and promote positive environmental or social outcomes in reserve portfolios
Speakers

Victor Smid
De Nederlandsche Bank
Sustainable and responsible investment expert
Tomas Stranak
National Bank of Slovakia
Director of settlements

Caspar Siegert
Bank of England
Head of climate risk, markets

Antonio Scalia
Bank of Italy
Head of the financial risk management directorate

Johanna Lasker
BNP Paribas
Head of Official Institutions & CEO North America

Evertjan Veenendaal
Bank for International Settlements
Senior portfolio manager
Partners
