Central banks are increasingly using climate scenarios to identify, assess and understand climate risks in their economies and financial systems, according to...
Lihuan Zhou, Associate at the World Resources Institute’s Sustainable Finance Center, identifies six climate actions for the private sector.
Switch of focus from equity to debt will yield greater real-world impact on climate change mitigations, according to ISS ESG.
Venice provides a fitting backdrop as policymakers aim to build momentum on the road to Glasgow.
Climate risk-related risk weightings are seen as inevitable as investors and supervisors scrutinise sector’s climate policies.
G7 leaders are not short of advice, nor lessons from local history.
Central banks warn: 13% of global GDP would be at risk by end of century, even before accounting for severe weather events.
Exercise aims to support more robust management of climate-related financial risks across the sector, says governor.
Oil and gas majors may be on the back foot this week, but they’re far from alone in needing to do more.
ESMA finds green funds less exposed to systemic network risks; TPI releases flagship transition report.
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