Company: BBD
Filing Date: 2025-03-31
Form Type: 20-F
Source: 0001292814-25-001244
Chunk: 93

Company: BANK BRADESCO
Filing Date: 2025-03-31
Form: 20-F
Item: Item 4
Chunk 93
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 being included within the World and Emerging Market portfolios in the 2024-2025 cycle;
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·   For the 20th consecutive time, we were included within the portfolio of the Corporate Sustainability
                                           Index (ISE) of B3; and                                       
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·                     Our performance in ESG was classified above the sector average in the evaluations of the main national                  
    and international indices and ratings such as Dow Jones (S&amp;P), ISE (B3), CDP, MSCI, FTSE4Good, Sustainalytics, Moody’s ESG Solutions’,
                                                                  among others.                                                               
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4.B.10.03-08 Transparency
 Our Integrated Report and ESG Report are part of a set of annual reports, designed provide transparency on ESG (environmental, social and governance) matters. They offer a comprehensive and integrated view of our business and operations detailing the results achieved in the period, our strategic priorities, voluntary commitments assumed and how we create long-term value for our stakeholders.
 We adhere to leading international standards for accountability and best reporting practices in sustainability, among which we highlight: Global Reporting Initiative (GRI) Sustainability Accounting Standards Board (SASB) and SDGs.
 The prioritization of themes and related materials follows our Framework of Relevance, the result of a joint collaboration between the Board of Directors, Presidency and various stakeholders, including employees. The Matrix presents the strategic themes most relevant to our business which are to be addressed in the disclosure of information to the market.
 In addition, we disclose specific content, including the ESG Indicators and our Climatic Change Report. The documents are available on our Investor Relations and Sustainability websites and are not incorporated by reference in this annual report.
 
4.B.20 Business management
 To ensure our operational activities are aligned with our strategies, we have developed management processes that are aligned with best market practices and business models, among which we highlight:
 
4.B.20.01 Risk management 
 Our risk management is highly strategic due to the increasing complexity of products and services and the globalization of our business. The dynamic nature of the markets means that we are constantly improving our risk management strategies.
 We carry out corporate risk control in an integrated and independent manner, maintaining and encouraging a collective decision-making environment and developing and implementing methodologies, models and tools for measurement and control. We promote the dissemination of a risk culture to all employees, at all hierarchical levels, from the business areas to the Board of Directors.
  
45 – Form 20