INTEGRATING CLIMATE RISK INTO FINANCIAL SYSTEMS: STRATEGIES FOR BANKS AND INVESTMENT FIRMS

  • Unique Paper ID: 168322
  • Volume: 11
  • Issue: 5
  • PageNo: 585-596
  • Abstract:
  • Climate changes carry enormous financial risks for Indian financial institutions. This research examines how banks and investment firms can integrate climate-related considerations into their risk management and their investment strategies. Key goals include researching existing frameworks of risk management, identifying and evaluating investment opportunities in climate solutions, and sector-specific impacts. This was achieved by using secondary data collection with case studies. Therefore, results call for Indian financial institutions to be proactive in addressing climate-related risks under better governance, disclosure practices, and strategic investments. It should be feasible for Indian financial institutions to incorporate climate considerations in building resilience and further contributing to a sustainable future.

Cite This Article

  • ISSN: 2349-6002
  • Volume: 11
  • Issue: 5
  • PageNo: 585-596

INTEGRATING CLIMATE RISK INTO FINANCIAL SYSTEMS: STRATEGIES FOR BANKS AND INVESTMENT FIRMS

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