
Environmental Risk Modelling in Banking
Magdalena Ziolo(Editor)
Routledge (Publisher)
1st Edition
Published on 29. December 2022
Book
Paperback/Softback
170 pages
978-1-032-31511-9 (ISBN)
Description
Environmental risk directly affects the financial stability of banks since they bear the financial consequences of the loss of liquidity of the entities to which they lend and of the financial penalties imposed resulting from the failure to comply with regulations and for actions taken that are harmful to the natural environment.
This book explores the impact of environmental risk on the banking sector and analyzes strategies to mitigate this risk with a special emphasis on the role of modelling. It argues that environmental risk modelling allows banks to estimate the patterns and consequences of environmental risk on their operations, and to take measures within the context of asset and liability management to minimize the likelihood of losses. An important role here is played by the environmental risk modelling methodology as well as the software and mathematical and econometric models used. It examines banks' responses to macroprudential risk, particularly from the point of view of their adaptation strategies; the mechanisms of its spread; risk management and modelling; and sustainable business models. It introduces the basic concepts, definitions, and regulations concerning this type of risk, within the context of its influence on the banking industry.
The book is primarily based on a quantitative and qualitative approach and proposes the delivery of a new methodology of environmental risk management and modelling in the banking sector. As such, it will appeal to researchers, scholars, and students of environmental economics, finance and banking, sociology, law, and political sciences.
This book explores the impact of environmental risk on the banking sector and analyzes strategies to mitigate this risk with a special emphasis on the role of modelling. It argues that environmental risk modelling allows banks to estimate the patterns and consequences of environmental risk on their operations, and to take measures within the context of asset and liability management to minimize the likelihood of losses. An important role here is played by the environmental risk modelling methodology as well as the software and mathematical and econometric models used. It examines banks' responses to macroprudential risk, particularly from the point of view of their adaptation strategies; the mechanisms of its spread; risk management and modelling; and sustainable business models. It introduces the basic concepts, definitions, and regulations concerning this type of risk, within the context of its influence on the banking industry.
The book is primarily based on a quantitative and qualitative approach and proposes the delivery of a new methodology of environmental risk management and modelling in the banking sector. As such, it will appeal to researchers, scholars, and students of environmental economics, finance and banking, sociology, law, and political sciences.
More details
Series
Language
English
Place of publication
London
United Kingdom
Publishing group
Taylor & Francis Ltd
Target group
College/higher education
Postgraduate
Illustrations
21 s/w Abbildungen, 21 s/w Zeichnungen, 44 s/w Tabellen
44 Tables, black and white; 21 Line drawings, black and white; 21 Illustrations, black and white
Dimensions
Height: 234 mm
Width: 156 mm
Thickness: 10 mm
Weight
292 gr
ISBN-13
978-1-032-31511-9 (9781032315119)
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
Other editions
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Magdalena Ziolo
Environmental Risk Modelling in Banking
Book
12/2022
1st Edition
Routledge
€208.18
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Magdalena Ziolo
Environmental Risk Modelling in Banking
E-Book
12/2022
1st Edition
Routledge
€52.49
Available for download

Magdalena Ziolo
Environmental Risk Modelling in Banking
E-Book
12/2022
1st Edition
Routledge
€52.49
Available for download
Person
Magdalena Ziolo? is Full Professor of Banking and Finance at the Faculty of Economics, Finance and Management, University of Szczecin, Poland.
Content
1. Introduction 2. Environmental risk as a challenge for banking sector 3. Environmental regulations as a framework for environmental risk management in banks 4. Quantitative methods and IT in environmental risk modeling 5. Environmental risk modeling and decision making process 6. The spread of environmental risk and the way to analyze the issue 7. Incorporating environmental risk in banks' business models 8. Environmental risk and its impact on bankruptcy and insolvency risk