Environmental Risk Analysis by Financial Institutions – A Review of Global Practice: An Input Paper for the G20 Green Finance Study Group

dc.contributor.authorUnited Nations Environment Programme
dc.contributor.authorUniversity of Cambridge
dc.contributor.organizationEconomy Division
dc.contributor.organizationInquiry
dc.contributor.otherAndreeva, Nina
dc.date.accessioned2020-12-10T15:01:13Z
dc.date.available2020-12-10T15:01:13Z
dc.date.issued2016
dc.descriptionThis document serves as an input paper to the G20 Green Finance Study Group, providing a global stocktake of how financial institutions analyse environmental sources of financial risk. It explains the strategic importance of incorporating physical and transition risks into mainstream risk management, defines key risk categories, and situates environmental risks within existing frameworks. The report outlines a four-stage methodology, presents cross-sectoral case studies from multiple countries, and distils lessons on emerging tools such as stress testing and scenario analysis. It concludes by highlighting capacity, knowledge, data and incentive challenges and proposing options to support wider adoption globally in practice.en
dc.formatText
dc.identifier.urihttps://wedocs.unep.org/handle/20.500.11822/34531
dc.languageEnglish
dc.page.number84 p.
dc.rights.accessLevelPublic
dc.subjectgreen economy
dc.subjectfinancial institution
dc.subjectenvironmental aspect
dc.subjectrisk management
dc.titleEnvironmental Risk Analysis by Financial Institutions – A Review of Global Practice: An Input Paper for the G20 Green Finance Study Groupen
dc.typeCommunication or other resource

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