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analyze climate-related risk for financial assets

the occurrence of extreme climate events, as well as a disorderly transition to a low-carbon economy, could have destabilizing effects on the financial system. climate-related risk analysis explores the potential impact on the safety and soundness of individual financial institutions and how these might have broader financial stability implications for the banking system.

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  • this example shows how to visualize transition scenarios to understand climate-related risks to the economy and financial systems.


  • this example shows an approach to assess physical and transition risks for mortgages.


  • this example shows the effect of transition risk on portfolios of loans from two banks given three different climate scenarios.

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