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Podcast: Climate Risk Scenarios – A Method to Assess and Manage Plausible Risks and Opportunities for the Financial Sector

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Podcast: Climate Risk Scenarios – A Method to Assess and Manage Plausible Risks and Opportunities for the Financial Sector

Year Published

2021

Contributing Organizations

International Monetary Fund (IMF)
Global Affairs Canada (GAC)
The Swedish International Development Cooperation Agency (Sida)

Type of Resource

Webinar or Podcast

Languages

English

Relevant Topics

Core Topic
Climate & Transition Finance
Topic 2
Risk Management

Target Audience

Financial Services Providers
Governments & Policymakers
Education Providers / Think Tanks / NGOs

Relevant Geography

Global
Podcast: Climate Risk Scenarios – A Method to Assess and Manage Plausible Risks and Opportunities for the Financial Sector

Resource Summary

In this Toronto Centre Podcast, Dr. Olaf Weber, Professor at the School of Environment, Enterprise and Development (SEED) at the University of Waterloo, and Shelina Visram, Toronto Centre Program Director, discuss how financial supervisors and regulators can use scenarios as part of their financial supervisory tools to manage risks and opportunities of climate change.

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