Climate change’s fundamental uncertainty has seen financial institutions employing scenario analysis to assess and analyze the potential climate risks within their investment portfolios and strategies. This has led to the emerging practice of combining and integrating results from climate risk analysis and traditional investment risk analysis, which has encountered a variety of challenges.
Notwithstanding these challenges alongside the volume of potential impact, we have actively progressed to further integrate climate risks into investment decision-making with the recent release of our integrated economic and climate scenarios, providing investors with the industry’s first integrated economic and climate risk management tool.
Our ‘Integrating economic and climate scenarios’ whitepaper provides an overview of how the unique combination of Ortec Finance’s economic scenarios and narrative-based climate scenarios can help investors to integrate climate change into their decision making in a consistent and seamless way.
This whitepaper is available to institutional investors, asset managers, wealth managers, academic professionals and relevant media contacts in the financial services sector.
You can submit a request for the whitepaper by providing your details, a member of our team will be in touch.