Sustainable and Impact Finance

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Sustainable and Impact Finance
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F1935

Paris (France)

05 Oct 2026 -09 Oct 2026

6040

Overview

Introduction:

Sustainable and impact finance is a financial discipline that integrates environmental, social, and governance (ESG) considerations into investment, financing, and capital allocation decisions to generate long term financial value and measurable societal impact. It combines sustainable investment principles, responsible finance, impact measurement, regulatory compliance, climate finance, and risk management to support resilient and inclusive economic development. This training program explores sustainable finance principles, ESG frameworks, impact investment approaches, and governance practices. It provides an institutional perspective on how sustainable and impact finance strengthen responsible investment, financial resilience, and long term value creation.

Program Objectives:

By the end of this program, participants will be able to:

  • Analyze sustainable and impact finance principles within institutional and investment environments.

  • Evaluate ESG integration and sustainable investment approaches that support responsible financial decision making.

  • Assess sustainable financial instruments, regulatory frameworks, and governance practices.

  • Examine climate, sustainability, and financial risk management approaches across financial institutions.

  • Explore strategic finance initiatives that promote long-term economic, environmental, and social value.

Targeted Audience:

  • Financial professionals.

  • Executives.

  • Managers.

  • Business professionals.

  • Investors and sustainability specialists.

Program Outline:

Unit 1:

Introduction to Sustainable and Impact Finance:

  • Key principles of sustainable and impact finance.

  • The role of finance in driving social and environmental sustainability.

  • ESG analysis techniques and its influence on financial markets.

  • Sustainable investment strategies and responsible capital allocation.

  • Global sustainability frameworks and regulatory guidelines.

Unit 2:

ESG Analysis and Impact Investing:

  • ESG criteria for evaluating financial projects and institutions.

  • Key methodologies for measuring and reporting ESG performance.

  • Impact investment models and their strategic implementation.

  • Risk-return tradeoffs in impact investing.

  • The evolving role of institutional investors in sustainable finance.

Unit 3:

Green Bonds and Sustainable Financial Instruments:

  • Characteristics and market trends of green, social, and sustainability bonds.

  • Regulatory policies shaping sustainable finance markets.

  • Risk assessment and evaluation methods of sustainable finance instruments.

  • Government and institutional roles in promoting responsible finance.

  • How to integrate sustainability objectives into traditional financial markets.

Unit 4:

Sustainable Banking and Insurance:

  • The role of banking institutions in financing sustainable projects.

  • Sustainable insurance models and risk mitigation strategies.

  • Innovations in sustainable financial products and services.

  • Importance of aligning sustainable banking and insurance with global climate goals.

  • Financial resilience and long term impact considerations.

Unit 5:

Data-Driven Decision-Making in Sustainable Finance:

  • The evolving role of statistical modeling techniques for sustainability risk assessment.

  • Frameworks for using predictive analytics in evaluating sustainable investment performance.

  • The importance of Data driven insights for ESG reporting and compliance.

  • The role of artificial intelligence and big data in sustainable finance.

  • Future trends and evolving methodologies in impact finance analysis.