Climate change and environmental issues have an impact on the overall stability of the financial system. Intermediaries that operate on a long-term horizon are exposed to the consequences of extreme environmental events. Banking sectors and insurance companies could be the most vulnerable and sensitive to these issues. Consequently, the aims of this paper is to review recent development on the risk frameworks developed by regulators and to classify the climate-related risks, and to explore whether these risks affecting the costs and benefits that is related to organizations. Research paper Keywords: Climate change; environmental risks; governance; risk frameworks; systemic risk, finance Reference to this paper should be made as follows: Moh...
Financial markets are not shielded from the ever-increasing effects of climate change. Climate chang...
It is now increasingly accepted that central banks and financial supervisors can no longer ignore cl...
This research investigates the impact of climate challenges on financial markets by introducing an i...
Climate change and environmental issues have an impact on the overall stability of the financial sys...
The article is aimed at identifying, firstly, the features and the ways in which climate change infl...
The present paper proposes an overview of the existing literature covering several aspects related t...
The Climate Change and Risk Management: The Role of the Financial Services Sector Think Tank held on...
Banks are reacting to accelerating climate change initiatives, where regulators (including the US, U...
We conduct a systematic literature review on environmental and climate-related risk management in th...
This publication serves as a roadmap for exploring and managing climate risk in the U.S. financial s...
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...
The regulatory framework that governs today’s International banking system only tackles the financia...
Nowadays banking activity is greatly influenced by environmental and social conditions. For this rea...
Artículo de revistaThe 2015 Paris Agreement acknowledged the need to mobilise financial flows toward...
Financial markets are not shielded from the ever-increasing effects of climate change. Climate chang...
It is now increasingly accepted that central banks and financial supervisors can no longer ignore cl...
This research investigates the impact of climate challenges on financial markets by introducing an i...
Climate change and environmental issues have an impact on the overall stability of the financial sys...
The article is aimed at identifying, firstly, the features and the ways in which climate change infl...
The present paper proposes an overview of the existing literature covering several aspects related t...
The Climate Change and Risk Management: The Role of the Financial Services Sector Think Tank held on...
Banks are reacting to accelerating climate change initiatives, where regulators (including the US, U...
We conduct a systematic literature review on environmental and climate-related risk management in th...
This publication serves as a roadmap for exploring and managing climate risk in the U.S. financial s...
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...
The regulatory framework that governs today’s International banking system only tackles the financia...
Nowadays banking activity is greatly influenced by environmental and social conditions. For this rea...
Artículo de revistaThe 2015 Paris Agreement acknowledged the need to mobilise financial flows toward...
Financial markets are not shielded from the ever-increasing effects of climate change. Climate chang...
It is now increasingly accepted that central banks and financial supervisors can no longer ignore cl...
This research investigates the impact of climate challenges on financial markets by introducing an i...