Certified Expert in Biodiversity Finance
Summary
Course Objective: This course equips finance professionals to identify and address biodiversity-related risks and opportunities. It examines how financial institutions impact and are exposed to biodiversity loss, highlighting the importance of investing in nature to meet global sustainability goals.
Learners can expect to gain:
- An understanding of biodiversity, ecosystem services, and financial relevance
- Insight into risks, dependencies, and double materiality
- Familiarity with regulatory frameworks and sector initiatives
- Tools for measurement, reporting, and opportunity assessment
- Interdisciplinary knowledge across finance, economics, and environmental science
- Certification and 3 ECTS credits upon completion
Why This Matters: Biodiversity loss creates financial risks. This course helps institutions align strategies with global goals and integrate nature into decision-making.
Course Duration: Sep 2025 – Feb 2026 (optional in-person session November 20–21, 2025). Second Cohort in March 2026
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