Environmental Hazards and Risk Management in the Financial Sector: A Systematic Literature Review

Miriam Breitenstein, D. K. Nguyen, T. Walther
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引用次数: 29

Abstract

We conduct a systematic literature review on environmental and climate related risk management in the financial sector. The systematic literature review identified a total of 36 relevant articles. A formal coding leads to the aggregation and classification of papers to three main categories that consider the impact of environmental concerns on financial risk, the current state of environmental risk practices in the finance sector, and lastly measures to assess those risks within financial institutions. Our results put forward the risk reduction for financial institutions which highly commit with environmental responsibility and performance. More importantly, investors' increase in awareness and willingness to assess climate-related financial risk would incentivize corporate managers to adopt more proactive environmental policies and practices. These findings also allow for intriguing discussions about several alleys for future research.
金融部门的环境危害与风险管理:系统文献综述
我们对金融部门的环境和气候相关风险管理进行了系统的文献综述。系统文献综述共发现36篇相关文章。正式编码导致文件的汇总和分类为三个主要类别,考虑环境问题对金融风险的影响,金融部门环境风险实践的现状,以及金融机构内评估这些风险的措施。我们的研究结果提出了高度承诺环境责任和绩效的金融机构的风险降低。更重要的是,投资者对评估气候相关金融风险的意识和意愿的提高,将激励企业管理者采取更积极主动的环境政策和实践。这些发现也允许对未来研究的几个小巷进行有趣的讨论。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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