Title: Empowering Financial Resilience: A Deep Dive into Climate Risk Analytics
Duration: 45 minutes
The tumultuous landscape of 2022 saw numerous billion-dollar weather and climate disasters, resulting in an estimated $313 billion in losses. As we anticipate Climate Week and COP28, the Finance theme underscores the imperative of modeling and quantifying the financial implications of the combination of physical impacts and the transition to a low carbon economy.
Financial institutions are demanding climate risk analytics with ever-greater levels transparency, robust scientific underpinning, and realism.
In this webinar, S&P Global, in partnership with Oliver Wyman, will explore the current frontiers of climate risk analytics. Participants can expect to gain an understanding of the latest approaches and capabilities to address market needs for modeling physical and transition climate-related financial risks.