Climate risk is already affecting the markets in which the fund is invested. The changes in the climate system are becoming more intense, widespread, and frequent. The long-term economic implications of climate change could be significant. Norges Bank Investment Management (NBIM) addresses risk within a general framework set by the Ministry of Finance. This paper considers climate change as a financial risk to the fund and assesses the results of two approaches to measuring climate risk in investment portfolios – carbon footprint analysis and climate scenario analysis. Carbon footprint analysis has provided us with valuable insights into changes in the carbon-intensity of our equity investments and corresponding benchmark index. Since 2013,...
While investors are paying more attention to climate change, there is a lack of granular data design...
The article is aimed at identifying, firstly, the features and the ways in which climate change infl...
This research investigates the impact of climate challenges on financial markets by introducing an i...
Climate change poses a financial risk to investors. Understanding when, where and how the effects of...
Climate change poses a financial risk to investors. Understanding when, where and how the effects of...
The financial sector that provides funding for climate change mitigation and adaptation is not prote...
Climate change has been recently recognised as a new source of risk for the financial system. Over t...
The financial sector must prepare for a higher risk level associated with climate change impacts aff...
Doctoral thesis (PhD) – Nord University, 2022The financial sector that provides funding for climate ...
To mitigate climate change, the transition to a low-carbon economy is imperative. Even though this t...
This paper illustrates the potential impacts of climate change on financial markets, focusing on the...
Climate change have led to a rising interest in how climate risks affect investors portfolios. The p...
Climate change has been a central topic in financial industry amongst both academicians and financia...
The world’s financial sector is making significant strides to account for both transition and physic...
Global investors and asset owners are no longer treating climate change as a peripheral issue. From ...
While investors are paying more attention to climate change, there is a lack of granular data design...
The article is aimed at identifying, firstly, the features and the ways in which climate change infl...
This research investigates the impact of climate challenges on financial markets by introducing an i...
Climate change poses a financial risk to investors. Understanding when, where and how the effects of...
Climate change poses a financial risk to investors. Understanding when, where and how the effects of...
The financial sector that provides funding for climate change mitigation and adaptation is not prote...
Climate change has been recently recognised as a new source of risk for the financial system. Over t...
The financial sector must prepare for a higher risk level associated with climate change impacts aff...
Doctoral thesis (PhD) – Nord University, 2022The financial sector that provides funding for climate ...
To mitigate climate change, the transition to a low-carbon economy is imperative. Even though this t...
This paper illustrates the potential impacts of climate change on financial markets, focusing on the...
Climate change have led to a rising interest in how climate risks affect investors portfolios. The p...
Climate change has been a central topic in financial industry amongst both academicians and financia...
The world’s financial sector is making significant strides to account for both transition and physic...
Global investors and asset owners are no longer treating climate change as a peripheral issue. From ...
While investors are paying more attention to climate change, there is a lack of granular data design...
The article is aimed at identifying, firstly, the features and the ways in which climate change infl...
This research investigates the impact of climate challenges on financial markets by introducing an i...