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Financial dynamics of the environment: risks, impacts, and barriers to resilience

Abstract:
This Working Paper does three things: first, summarises the underlying logic for why the financial sector should care about the environment and environment-related risks; second, reviews the barriers preventing the financial system from managing such issues; and third, identifies the researchers and organisations working on these topics. This is a reference guide for those concerned with both how environment-related risks could affect the financial sector and what financial institutions can do to manage such risks.
Publication status:
Published
Peer review status:
Peer reviewed
Version:
Publisher's version

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Department:
Oxford, SSD, SOGE, Smith School
Role:
Author
Publisher:
Smith School of Enterprise and the Environment Publisher's website
Publication date:
2014-07-14
Pubs id:
pubs:640757
URN:
uri:3d2dfba5-c93f-4e45-af6a-9ec5dea92395
UUID:
uuid:3d2dfba5-c93f-4e45-af6a-9ec5dea92395
Local pid:
pubs:640757
Keywords:

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