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dc.contributor.authorClapp, Christa
dc.contributor.authorLund, Harald Francke
dc.contributor.authorAamaas, Borgar
dc.contributor.authorLannoo, Elisabeth
dc.date.accessioned2017-02-14T08:31:17Z
dc.date.available2017-02-14T08:31:17Z
dc.date.issued2017
dc.identifier.issn0804-4562
dc.identifier.urihttp://hdl.handle.net/11250/2430660
dc.description.abstractTaking a starting point in the latest climate science, this report categorizes climate change risk according to timeframe and probability by region and highlights risks that require immediate attention from investors. Complementing the recent recommendations from the Financial Stability Board’s Task Force on Climate-Related Financial Disclosure to disclose potential impacts of climate-related risks and opportunities, guidance on scenarios for stress-testing is also provided. The report finds that some impacts are already happening earlier than anticipated and new ones are expected in the time horizon used by investors.en
dc.language.isoengen
dc.publisherCICERO Center for International Climate and Environmental Research - Oslonb_NO
dc.relation.ispartofCICERO Report
dc.relation.ispartofseriesCICERO Report;2017:01
dc.subjectClimate Changenb_NO
dc.subjectClimate Risknb_NO
dc.subjectInvestmentnb_NO
dc.subjectScenariosnb_NO
dc.subjectImpactnb_NO
dc.titleShades of Climate Risk. Categorizing climate risk for investorsnb_NO
dc.typeResearch reportnb_NO
dc.subject.nsiVDP::Social science: 200nb_NO
dc.source.pagenumber45nb_NO
dc.relation.projectCICERO Climate Finance Centernb_NO


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