Financial Markets

Climate Risk

概要

There is a growing recognition that climate change and society’s reactions to it may have significant consequences for the economy and the financial sector. In response to the expectations of civil society and governments, as well as increased awareness of these risks by the financial sector, financial institutions have started analysing climate-related risks and impacts and incorporating them in their decision-making and product offerings. This eCourse provides an overview of climate risk and explores how financial institutions are assessing and managing it.

宗旨

On completion of this eCourse, you will be able to:
- Define climate risk and identify its implications for financial institutions
- Name various climate risk metrics and recall their uses and limitations
- Identify key regulations and guidelines addressing the measurement and management of climate risk

內容

Climate Risk - An Introduction
Topic 1: Climate Change & Climate Risk
Topic 2: Measurement & Management
Topic 3: Regulations & Guidelines

詳情

活動編號
TEPFM21001301
地點
網上平台
相關主題
第1類 - 證券交易,第2類 - 期貨合約交易,第3類 - 槓桿式外匯交易,第4類 - 就證券提供意見,第5類 - 就期貨合約提供意見,第6類 - 就機構融資提供意見,第7類 - 提供自動化交易服務,第8類 - 提供證券保證金融資,第9類 - 提供資產管理,第10類 - 提供信貸評級服務,第11類 - 場外衍生工具產品交易或就場外衍生工具產品提供意見,第12類 - 為場外衍生工具交易提供客户結算服務,監管合規
語言
英文
課程時數
SFC:1.00, PWMA:1.00
費用
所有會員: HKD285
非會員: HKD420
機構會員員工: HKD285