With the anti-ESG movement gaining traction, companies across the country are trying to avoid being a target while being loyal to their values and commitments to the public. In this program, a panel comprising C-suite legal and financial executives will examine regulations related to ESG, the impact of the regulations on businesses, and the challenges and opportunities that are arising as a result. The session will provide insight into how companies are maneuvering diverging requirements and their potential long-term implications for business practices.
Attendees will explore the following topics of discussion:
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“E”nvironmental Landscape
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California & New York
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Texas
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Final “Stayed” SEC Climate Disclosure Rule
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“S”ocial Scene
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Human Capital and Pay Transparency
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DEI & Racial Audits
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The SCOTUS Decision
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“G”overnance Goals
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SEC Rule on ESG Investing
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State Level Bans on ESG Investing
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Anti-ESG Movement
CLE is approved in CA, NY, PA, TX, IL, and NV.
Other jurisdictions will be applied for upon request if needed.
To view a recording of this webinar, click here.
Angela Curry
VP and Chief Compliance Officer, Bentley Systems, Inc.
Julia Fish
Investment Specialist, Sustainable and Impact Investing, Managing Director, Glenmede Investment Management
Jessica A. Milner
Vice President, Deputy General Counsel and Corporate Secretary, UGI Corporation