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Climate Risk Management In The Financial Sector
Published 4/2024 MP4 | Video: h264, 1920x1080 | Audio: AAC, 44.1 KHz Language: English | Size: 1.23 GB | Duration: 2h 21m Master climate risk assessment, integration, and compliance. What you'll learn Understand the concept of climate risk and its implications for financial institutions. Learn how to identify and assess climate-related risks in various financial products and investments. Explore strategies for integrating climate risk management into financial decision-making processes. Gain knowledge of regulatory frameworks and best practices for addressing climate risks in the financial sector. Requirements Description Investing in your future means understanding and managing climate risks in the financial sector. This comprehensive course is designed to equip you with the knowledge and tools necessary to identify, assess, and manage climate-related risks in financial products and investments.As a participant in this course, you will explore a wide range of topics, including strategies for integrating climate risk into decision-making processes, navigating complex regulatory frameworks, and implementing best practices in climate risk management. Whether you are a financial analyst, risk manager, or sustainability professional, this course will empower you to make informed decisions that drive sustainability and resilience in your organization.Throughout the course, you will have the opportunity to engage with expert instructor and industry insider, gaining valuable insights and practical skills that you can apply immediately in your professional life. By the end of the course, you will not only have a deeper understanding of climate risk management but also the confidence to lead initiatives and drive positive change within your organization.Join us on this exciting journey and become a leader in managing climate risks in the financial sector. Your sustainable future starts here!The course begins by providing a foundational understanding of climate risk, including its various forms and impacts on the financial sector. You will learn how climate change can pose both physical and transition risks to businesses and financial institutions, and why it is essential to manage these risks effectively.Next, the course will delve into the process of assessing climate risk in financial products and investments. You will learn how to identify and quantify climate-related risks, using tools and techniques such as scenario analysis and stress testing. You will also explore how to incorporate climate risk assessments into broader risk management frameworks, ensuring that they are integrated into decision-making processes.One of the key challenges in managing climate risk is navigating the complex regulatory landscape. This course will provide you with a comprehensive overview of the regulatory frameworks that govern climate risk management in the financial sector, including international agreements, national regulations, and industry standards. You will learn how to ensure compliance with these regulations and how to use them to enhance your organization's climate risk management practices.Finally, the course will explore best practices in climate risk management, drawing on real-world examples and case studies from leading organizations. You will learn how to develop and implement effective climate risk management strategies, including setting targets, engaging with stakeholders, and reporting on progress. You will also learn how to build a culture of climate resilience within your organization, ensuring that climate risk management becomes embedded in its DNA.By the end of the course, you will have a comprehensive understanding of climate risk management in the financial sector and the skills and knowledge to drive meaningful change within your organization. Join us and become a leader in managing climate risks in the financial sector. Your sustainable future starts here! Overview Section 1: Introduction to Climate Risk Management Lecture 1 Welcome to the Course Lecture 2 Understanding Climate Risk Lecture 3 Importance of Climate Risk Management in Finance Section 2: Climate Risk Assessment in Finance Lecture 4 Types of Climate Risks in the Financial Sector Lecture 5 Climate Risk Assessment Tools and Techniques Section 3: Integrating Climate Risk into Decision-Making Lecture 6 Strategies for Integrating Climate Risk into Financial Decision-Making Lecture 7 Incorporating Climate Risk into Risk Management Frameworks Section 4: Regulatory Frameworks for Climate Risk Management Lecture 8 Overview of International Climate Agreements Lecture 9 National Regulations and Industry Standards Section 5: Best Practices in Climate Risk Management Lecture 10 Case Studies of Effective Climate Risk Management Lecture 11 Developing and Implementing Climate Risk Management Strategies