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ENVIRONMENTAL HAZARDS AND RISK MANAGEMENT IN THE FINANCIAL SECTOR: A SYSTEMATIC LITERATURE REVIEW
Journal of Economic Surveys ( IF 4.142 ) Pub Date : 2021-01-23 , DOI: 10.1111/joes.12411
Miriam Breitenstein 1 , Duc Khuong Nguyen 2, 3 , Thomas Walther 1, 4
Affiliation  

We conduct a systematic literature review on environmental and climate‐related risk management in the financial sector. We classify the current literature into three categories: (i) the impact of environmental concerns on financial risk; (ii) the current state of environmental risk practices in the financial sector; and (iii) measures to assess the financial exposure to environmental risks. We find that financial institutions can reduce their risk exposure by highly committing with environmental responsibility and performance. Moreover, the increase in willingness to assess climate‐related financial risk incentivizes corporate managers to adopt more proactive environmental policies and practices.

中文翻译:

金融部门的环境危害与风险管理:系统的文献综述

我们对金融部门与环境和气候相关的风险管理进行了系统的文献综述。我们将当前文献分为三类:(i)环境问题对财务风险的影响;(ii)金融部门环境风险做法的现状;(iii)评估财务承受环境风险的措施。我们发现,金融机构可以通过高度重视环境责任和表现来降低风险敞口。此外,评估与气候相关的金融风险的意愿增强,促使企业管理者采取更积极的环境政策和做法。
更新日期:2021-03-23
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