[HTML][HTML] Climate finance

S Giglio, B Kelly, J Stroebel - Annual review of financial …, 2021 - annualreviews.org
In this article, we review the literature studying interactions between climate change and
financial markets. We first discuss various approaches to incorporating climate risk in …

Climate change, risk factors and stock returns: A review of the literature

A Venturini - International Review of Financial Analysis, 2022 - Elsevier
This article reviews how climate change could be considered an additional source of market
risk. I discuss the types of data needed to analyse the climate risk drivers that shape the …

Satellite imaging reveals increased proportion of population exposed to floods

B Tellman, JA Sullivan, C Kuhn, AJ Kettner, CS Doyle… - Nature, 2021 - nature.com
Flooding affects more people than any other environmental hazard and hinders sustainable
development,. Investing in flood adaptation strategies may reduce the loss of life and …

Dissecting green returns

Ľ Pástor, RF Stambaugh, LA Taylor - Journal of financial economics, 2022 - Elsevier
Green assets delivered high returns in recent years. This performance reflects unexpectedly
strong increases in environmental concerns, not high expected returns. German green …

What do you think about climate finance?

J Stroebel, J Wurgler - Journal of Financial Economics, 2021 - Elsevier
We survey 861 finance academics, professionals, and public sector regulators and policy
economists about climate finance topics. They identify regulatory risk as the top climate risk …

[HTML][HTML] A review of the financial sector impacts of risks associated with climate change

F Zhou, T Endendijk, WJW Botzen - Annual Review of Resource …, 2023 - annualreviews.org
This article reviews the literature on the financial sector impacts of natural disasters and
physical climate change risks, covering banking, insurance, stock markets, bond markets …

The impact of climate change on the cost of bank loans

S Javadi, AA Masum - Journal of Corporate Finance, 2021 - Elsevier
We find robust empirical evidence that firms in locations with higher exposure to climate
change pay significantly higher spreads on their bank loans. To alleviate the concerns …

The importance of climate risks for institutional investors

P Krueger, Z Sautner, LT Starks - The Review of financial studies, 2020 - academic.oup.com
According to our survey about climate risk perceptions, institutional investors believe climate
risks have financial implications for their portfolio firms and that these risks, particularly …

The effect of climate risks on the interactions between financial markets and energy companies

AA van Benthem, E Crooks, S Giglio, E Schwob… - Nature Energy, 2022 - nature.com
In recent years, the investment community has become increasingly aware of the investment
risks from both the physical effects of climate change and the regulatory responses to …

Climate finance

H Hong, GA Karolyi… - The Review of Financial …, 2020 - academic.oup.com
Climate finance is the study of local and global financing of public and private investment
that seeks to support mitigation of and adaptation to climate change. In 2017, the Review of …