Extended Viewer
Climate Stress Tests: Imagine the Unimaginable
35 mins listen August 05, 2021
As regulations increase, along with a growing awareness of the impact of climate risks, we get real, with practical approaches for insurance companies and other institutional investors to evaluate the effects of climate change on portfolio management in a carbon-conscious world.
Featuring
Andy Sparks
Managing Director, MSCI Research
Matthew Lightwood,
Director, Risk Solutions, Conning
Related content
Perspectives Podcast
Join us as we explore the issues global investors are talking about and uncover insights from industry experts that help keep it all in perspective.
Explore MoreWhy Is Climate Transition Risk High in High Yield?
Investors increasingly focus on building greener portfolios. Some might expect bonds to be less exposed to climate-transition risk compared to equities, due to the seniority of bonds in the capital structure. But does that logic hold at the portfolio level?
Read MoreClimate Transition and Bonds: Risk or Opportunity?
The transition to a low-carbon economy could significantly redirect the flow of investments toward greener companies and technologies that limit carbon emissions. We consider the potential risk — and opportunity — for bond investors.
Learn More