Towards a post-pandemic policy framework to manage climate-related financial risks and resilience

Author:

D’Orazio Paola1ORCID

Affiliation:

1. Institute of Macroeconomics, Faculty of Economics and Management, Ruhr-Universität Bochum Bochum, Germany

Publisher

Informa UK Limited

Subject

Atmospheric Science,Environmental Science (miscellaneous),Global and Planetary Change,Management, Monitoring, Policy and Law

Reference113 articles.

1. A Crisis of Banks as Liquidity Providers

2. Allan, J., Donovan, C., Ekins, P., Gambhir, A., Hepburn, C., Reay, D., Robins, N., Shuckburgh, E. & Zenghelis, S. (2020). A net-zero emissions economic recovery from COVID-19. COP26 Universities Network.

3. Climate-Related Scenarios for Financial Stability Assessment: An Application to France

4. Alonso Gispert, T., Feyen, E., Kliatskova, T., Mare, D. S. & Poser, M. (2020). COVID-19 pandemic: A database of policy responses related to the financial sector. World Bank Finance, Competitiveness, Innovation Global Practice.

5. Ansar, A., Caldecott, B. & Tilbury, J. (2013). Stranded assets and the fossil fuel divestment campaign: what does divestment mean for the valuation of fossil fuel assets? Smith School of Enterprise and the Environment, University of Oxford working paper.

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