Financial Risk Management and Climate Change Risk The Experience in a Central Bank /
| Korporativní autor: | |
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| Další autoři: | |
| Shrnutí: | XV, 317 p. 75 illus., 52 illus. in color. text |
| Jazyk: | angličtina |
| Vydáno: |
Cham :
Springer Nature Switzerland : Imprint: Springer,
2023.
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| Vydání: | 1st ed. 2023. |
| Edice: | Contributions to Finance and Accounting,
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| Témata: | |
| On-line přístup: | https://doi.org/10.1007/978-3-031-33882-3 |
| Médium: | Elektronický zdroj Kniha |
Obsah:
- Chapter 1. Financial Risk Management and Climate Change Risk
- Part 1. Monetary Policy and Financial Risk Management
- Chapter 2. The Cost of Unconventional Monetary Policy Measures. A Risk Manager's Perspective
- Chapter 3. The Eurosystem Collateral Framework and the Measures Introduced in Response to the Pandemic Emergency
- Chapter 4. Sovereign Ratings
- Chapter 5. The Bank of Italy’s In-House Credit Assessment System for Non-Financial Firms
- Chapter 6. The Role of Rating Agencies: Implications for the Financial System and Central Banks’ Efforts to Reduce their Reliance
- Chapter 7. The Incorporation of Climate Change Risk in the Eurosystem Monetary Policy Framework and the Decarbonisation of the Corporate Bond Portfolio
- Part 2. The Integration of Climate Change in Financial Risk Management
- Chapter 8. The Commitment to Sustainability in Financial Investments
- Chapter 9. The Strategic Allocation and Sustainability of Central Bank Investments
- Chapter 10. Machine Learning, ESG Indicators, and Sustainable Investment
- Chapter 11. The Global Green Bond Market
- Chapter 12. The Exposure of Investments to Climate and Environmental Risks.