
Carbon Finance: A Risk Management View
A RISK MANAGEMENT VIEW
World Scientific Europe Ltd (Publisher)
Published on 20. December 2021
Book
Hardback
340 pages
978-1-80061-101-6 (ISBN)
Description
Mastering climate change has been recognised as a major challenge for the current decade. Besides the physical risks of climate change, the accompanying economic risks are substantial. Carbon Finance: A Risk Management View provides an in-depth analysis of how climate change will affect all aspects of financial markets and how mathematical and statistical methods can be used to analyse, model and manage the ensuing financial risks. There is a focus on the transition risk (termed carbon risk), but also a discussion of the impact of physical risks (as these risks are closely entangled) on the way to low carbon economies. This is a valuable overview for readers seeking an analysis of carbon risks from the perspective of financial risk management, utilising quantitative risk management tools.
More details
Language
English
Place of publication
London
United Kingdom
Target group
College/higher education
Professional and scholarly
Dimensions
Height: 235 mm
Width: 157 mm
Thickness: 23 mm
Weight
641 gr
ISBN-13
978-1-80061-101-6 (9781800611016)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Classification
Persons
Author
Deloitte Audit Analytic, Germany
Univ Of Duisburg-essen, Germany