气候变化、信贷风险和金融稳定

Q4 Economics, Econometrics and Finance
Oluwaseun James Oguntuase
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引用次数: 4

摘要

气候变化是最大的全球性挑战之一,对全球社会经济和金融体系治理提出了前所未有的挑战。本章研究气候变化科学和与气候变化相关的不确定性,同时识别和解释气候相关风险、气候变化的金融方面、气候变化的信贷影响、将气候相关风险纳入信贷风险评估以及气候风险管理。本章特别关注气候相关风险、信用风险和金融稳定这三个概念之间的三角关系,列举了气候风险可能导致信用风险并影响金融体系稳定的渠道。本文还讨论了将气候变化纳入企业风险管理的方法。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Climate Change, Credit Risk and Financial Stability
Climate change is one of the greatest global challenges, posing an unprecedented challenge to the governance of global socioeconomic and financial systems. This chapter examines the climate change science and uncertainties associated with climate change, while identifying and explaining climate-related risks, the financial aspect of climate change, credit implications of climate change, integration of climate-related risks into credit risk assessment, and climate risk management. The chapter pays special attention to the triangular relationship between the three notions of climate-related risks, credit risk, and financial stability by enumerating the channels through which climate risks can cause credit risks and affect the stability of the financial system. Approaches to incorporate climate change into corporate risk management are also discussed.
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来源期刊
Banking and Finance Review
Banking and Finance Review Economics, Econometrics and Finance-Finance
CiteScore
0.30
自引率
0.00%
发文量
1
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