Webinar replay - ESG risk - CRD VI and EBA GL
20 May 2026 – How to succeed in ESG risk integration?
Meet Jørund Buen, Dag A.D Messelt and Patrik Dahlén in a discussion about issues and solutions for ESG risk identification and measurement in the context of the EBA Guidelines with focus on lending activity.
They are all experienced sustainability professionals coupled with deep experience in the financial sector.
More information about the presenters can be found below.
Dag A.D. Messelt
Dag has over 30 years’ experience from financial markets and asset management, including equity and fixed income investments. His work has focused on technically demanding investment and advisory roles, with extensive experience translating complex financial, regulatory, climate risk, and sustainability risk issues into practical decision-making frameworks.
Since 2019, Dag has worked extensively with sustainable and responsible investment, including coordinating and driving the development of SRI at Alfred Berg Asset Management, a Nordic subsidiary of BNP Paribas Asset Management. His current work focuses on ESG risk methodology, financial materiality, and how banks and investors can understand sustainability risk for integration into larger risk assessment, credit processes, and investment decisions in a consistent and explainable way.
Dag is a member of the EFFAS ESG Review Panel, which oversees the quality and relevance of the CESGA Certified ESG Analyst programme. He holds master-level business education from NHH in Norway and HEC in France, and is a Certified European Financial Analyst, Certified ESG Analyst, and Certified Climate Risk Analyst.
Jørund Buen
Patrik Dahlén
Patrik has extensive experience from financial markets, including equity research, specialist sales, analyst roles, and account management for some of the world’s largest fund managers. His background gives him a strong understanding of how institutional investors assess companies, risks, disclosures, and long-term value creation.
His work with sustainability risk began in the late 2010s, as major investors increasingly started asking for ESG-related investment ideas and company insights. Since then, he has worked on sustainability risk projects supporting both investors and companies, with a particular focus on helping businesses understand, communicate, and manage sustainability-related expectations from capital providers.
Patrik holds a master’s degree in Leadership for Sustainability from Malmö University and a bachelor’s degree in Business Administration from the Stockholm School of Economics. He is a Certified ESG Analyst through EFFAS and a Certified Sustainability Professional through the Global Reporting Initiative.

