Physical and transition risks being incorporated into a more holistic approach by financial institutions, says UNEP FI report, as regulators increase scrutiny.
Existing capability and regime gaps “create uncertainty” over whether financial institutions are adequately capitalised for future climate-related losses, according to the Bank...
Key asks outlined by Asian investor network to support resilience of portfolios.
Blue carbon markets to support ocean and coastal system targets of COP27 Adaptation Agenda.
Private investment in water security across EMDEs needs to account for “shocks and stresses” on ecosystems.
Investors need to be accounting for adaptation alongside mitigation, IIGCC says.
This week’s major stories impacting ESG investors, in five easy pieces.
Institutional investors are focusing on understanding, measuring and managing climate risks in their portfolios, but the toolbox for physical risks is still...
Financial institutions urged to mitigate risks posed by water-stranding events to portfolios and loan books.
Greater scope and depth needed to keep pace with demand for more holistic approaches to climate risk management by banks and investors.
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