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financial markets. The climate related risk is divided into three subcategories, the environmental uncertainty, the economic … climate risk and the climate policy risk, which all of them may affect the markets directly or indirectly. The perspective is … market valuation of the climate risk. …
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Climate change has the potential to affect the global economy through physical impacts, but may also initiate regulations, policies, as well as technological innovation. Over time climate science and environmental economics have developed a better understanding of the potential impact over a...
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An estimate is made of the specific risk to the fossil fuel sector from wind and solar generation and from electric … vehicles. The systemic risk to investment portfolios from climate change is then analysed …
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carry a very high risk for systems such as the Arctic sea ice and coral reefs. For a warming of 3 C above pre … high risk for abrupt and irreversible changes ("tipping points"), such as the melting of the Greenland ice sheet and the …
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Climate change has been recently recognised as a new source of risk for the financial system. Several financial …) challenge traditional approaches to macroeconomic and financial risk analysis. Embedding climate change in macroeconomic and … supervisors about the integration of climate change considerations in financial risk assessment …
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well as financial stability risks – with the impact of Securities Financial Transactions on systemic risk, also being taken …
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