Climate change scenarios: implications for strategic asset allocation

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This report addresses the broad-ranging impact that climate change may have on economies and financial markets over the coming decades. It analyses the extent of that impact on institutional investment portfolios and identifies a series of pragmatic steps for institutional investors to consider, including allocation to climate-sensitive assets and the adoption of an 'early warning' risk management process.

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Mark Content Private(Internal): 
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Publication Date: 
01/01/2011