Climate change is a key consideration for asset managers
Assess the varying financial impacts of the net-zero transition, physical risks, and uncertainty in market responses across economies, sectors and asset classes worldwide with climate scenario analysis.
ClimateMAPS, in exclusive partnership with Cambridge Econometrics, offers comprehensive approach to assessing climate change's impact across economies, sectors and asset classes worldwideIdentify climate risks. Illuminate climate opportunities
How does ClimateMAPS support asset managers?
By utilizing our Ortec Finance Climate Scenarios, developed using our award-winning propietary climate scenario modeling framework or publicly available NGFS climate scenarios, ClimateMAPS can support asset managers to:
- Assess current risk exposure and identify opportunities by simulating real-time portfolios under a range of climate narratives
- Quantify climate change impacts across all asset classes and macroeconomic variables to inform strategic asset allocation
- Focus risk management and engagement efforts with granular sector and country-level insights.
- Conduct rigorous scenario planning and stress tests that incorporate realistic assessments of climate transition, physical, and market risks
- Gain a deeper qualitative understanding of scenario outcomes and trends
How can asset managers benefit from our ClimateMAPS climate scenario analysis solution?
Ability to integrate climate risk analysis results with traditional risk return analysis outcomes via our economic scenario solution
Generates extensive insights and detailed narratives covering short and longer-term investment horizons
Can be utilized on a standalone basis and/or integrated with SAA exercises
Want to learn more about ClimateMAPS?
Visit our Climate Scenarios & ESG page to learn about the features of ClimateMAPS and how it can support asset managers to prepare investment portfolios for the impacts of climate change.
ClimateMAPS – climate scenario analysis