银行业环境和社会风险的管理与主题——一项实证调查

Katrin Hummel, Ute Laun, A. Krauss
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引用次数: 14

摘要

摘要本文研究了环境和社会(E&S)风险和主题(即在适应不断变化的商业环境方面很重要的E&S问题)如何整合到银行业中。尽管银行在引导资金流向可持续发展方面发挥着关键作用,但目前很少有人知道银行是否以及如何将环境与安全方面纳入其管理控制系统,以及这种整合是否转化为环境与安全绩效。在先前环境管理控制文献研究的基础上,我们设计了一个概念模型,其中我们将上下文因素,主动战略方法,环境与安全管理控制和环境与安全绩效联系起来。根据银行业的惯例,我们区分了两种E&S管理控制路径:风险管理(价值保护)和主题管理(价值创造)。基于对50家欧洲银行的小样本调查数据,我们发现有证据表明,背景因素(反映在客户、自愿标准制定者和非政府组织的感知权力和合法性上)与主动战略方法呈正相关。这种积极主动的策略转化为主题和风险管理。然而,在下一步中,只有主题管理与银行的E&S绩效呈正相关,而风险管理与银行的E&S绩效呈正相关。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Management of Environmental and Social Risks and Topics in the Banking Sector - An Empirical Investigation
Abstract This paper investigates how environmental and social (E&S) risks and topics (i. e. E&S issues that are important in terms of adaptation to a changing business environment) are integrated in the banking sector. Despite banks’ key role in steering financial flows towards sustainable development, little is currently known as to whether and how banks integrate E&S aspects into their management control systems and whether this integration translates into E&S performance. Building on prior studies in the environmental management control literature, we design a conceptual model in which we link contextual factors, a proactive strategy approach, E&S management controls, and E&S performance. Following common practice in the banking sector, we differentiate between two paths of E&S management controls: risk management (value protection) and topic management (value creation). Based on survey data for a small sample of 50 European banks, we find evidence that contextual factors, reflected in the perceived power and legitimacy of clients, voluntary standard setters and NGOs, are positively related to a proactive strategy approach. This proactive strategy translates into both topic and risk management. Yet, in the next step, only topic management is positively related to the E&S performance of a bank, but not risk management.
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