Climate risks : an investor's field guide to identification and assessment / Bob Buhr.
By: Buhr, Bob [author.]
Language: English Series: Wiley finance series: Publisher: Hoboken, NJ : John Wiley & Sons, Inc., 2023Copyright date: ©2023Description: 1 online resource (x, 240 pages) : illustrations(chiefly color), color mapContent type: text Media type: computer Carrier type: online resourceISBN: 9781394187362 ; 9781394187355; 1394187351; 9781394187348; 1394187343; 9781394187379; 1394187378Subject(s): Financial risk | Financial risk management | Climatic changes -- Economic aspectsGenre/Form: Electronic books.DDC classification: 658.15/5 LOC classification: HB615 | .B827 2023Online resources: Full text is available at Wiley Online Library Click here to view Summary: "Climate Risks: An Investor's Field Guide to Identification and Assessment presents a framework for classifying climate risks at the firm level, a "climate risk taxonomy" that captures a broad range of physical and transition risks that may affect a firm's financial profile. This enables banks, investors, and regulators to: assess the relative aggregate riskiness of portfolios that derive from climate and natural capital risks at the firm level; assess the potential scope and impact of a wide range of risks that would not normally appear in more traditional risk or credit analysis; and to formulate a judgment on where and when climate risks may become financial risks"-- Provided by publisher.| Item type | Current location | Home library | Call number | Status | Date due | Barcode | Item holds |
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EBOOK
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COLLEGE LIBRARY | COLLEGE LIBRARY | 658.155 B867 2023 (Browse shelf) | Available |
Includes bibliographical references and index.
"Climate Risks: An Investor's Field Guide to Identification and Assessment presents a framework for classifying climate risks at the firm level, a "climate risk taxonomy" that captures a broad range of physical and transition risks that may affect a firm's financial profile. This enables banks, investors, and regulators to: assess the relative aggregate riskiness of portfolios that derive from climate and natural capital risks at the firm level; assess the potential scope and impact of a wide range of risks that would not normally appear in more traditional risk or credit analysis; and to formulate a judgment on where and when climate risks may become financial risks"-- Provided by publisher.
About the Author
BOB BUHR, PHD, is an Honorary Research Fellow at Imperial College’s Centre for Climate Finance & Investment. He spent 30 years as a corporate bond analyst and is currently engaged with several NGOs on an array of climate-related issues, including natural capital and adaptation risks. He has published several reports on topics like green bonds, climate-vulnerable countries, and sovereign risks.

EBOOK
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