32 min listen
Financial Regulation and Climate Risk Management
FromClimate Rising
ratings:
Length:
31 minutes
Released:
Jul 7, 2020
Format:
Podcast episode
Description
Explore different approaches to modeling and managing climate risk from the vantage points of industry leaders Robert Litterman, a seasoned risk management expert; Nushin Kormi, a specialist in sustainable finance; and Kevin Stiroh, a financial regulator. The discussion, moderated by Professor Ramana Nanda, focuses on the concept of transition risk—the potential consequences if climate regulations are imposed gradually or suddenly—and investment strategies to prepare for and mitigate this risk. This is one of 4 new episodes this summer based on live content from the Harvard Business School Climate Risk conference held earlier in 2020.
Released:
Jul 7, 2020
Format:
Podcast episode
Titles in the series (83)
Business and the Politics of Climate Change: What influence does business have on the politics of climate change? In today’s episode, we'll look at how climate change affects different businesses, and how proposed regulations like a carbon tax could help or harm business. Weighing in with... by Climate Rising