Panel Discussion - Balancing Risk and Return in New Financial Models: Managing Physical Climate Risk in Portfolios
Information
How can ESG data assist with the analysis of the challenges, risk and opportunities of physical climate risk?
How the combined involvement of risk and ESG teams can work collaboratively to explore the range of needs and potential solutions to be prioritised for financial institutions when dealing with physical climate risk
How can portfolios accurately account for physical climate risk
What is the role of emerging metrics and data for investors
Understanding climate risk exposure- how do investors successfully mitigate, adapt, and transition their portfolios?
Climate aligned investing and forward scenario risk analysis – should all financial systems be aligned with physical climate risk resilience programmes?
Have enhanced de-risking mechanisms encouraged private and institutional investors to invest in more sustainable projects?
The climate risk challenge of dealing with stranded assets