Financial Risk Management and Climate Change Risk: The Experience in a Central Bank | Agenda Bookshop Skip to content
Selected Colleen Hoover Books at €9.99c | In-store & Online
Selected Colleen Hoover Books at €9.99c | In-store & Online
Age Group_Uncategorized
Age Group_Uncategorized
automatic-update
B01=Antonio Scalia
Category1=Non-Fiction
Category=GPQD
Category=KCB
Category=KCD
Category=KFF
Category=KFFD
Category=KJM
COP=Switzerland
Delivery_Pre-order
Language_English
PA=Not yet available
Price_€50 to €100
PS=Active
softlaunch

Financial Risk Management and Climate Change Risk: The Experience in a Central Bank

English

Financial risk management for institutional investors has recently grown in scope to include long-term sustainability considerations and climate change risk concerns. This book shows how a national central bank in the Eurosystem has adapted its financial risk management principles and practices against the background of non-conventional monetary policy measures and following the introduction of sustainability criteria, with a special role for carbon-neutrality. The topics covered include a market-based approach to evaluating credit risk, the development of an independent credit rating system, and the properties and limitations of agencies sovereign ratings. Furthermore, the book analyzes the integration of sustainability principles into strategic asset allocation and describes the use of machine learning techniques for discerning the role of the E, S and G variables in equity returns. The authors also discuss the growth of the global green bond market and the greenium, as well as the sustainability indicators for large portfolios of corporate and government securities. Given its scope, the book will appeal to all professionals working in the field who would like to know the state-of-the-art in these areas.

See more
Current price €61.19
Original price €67.99
Save 10%
Age Group_Uncategorizedautomatic-updateB01=Antonio ScaliaCategory1=Non-FictionCategory=GPQDCategory=KCBCategory=KCDCategory=KFFCategory=KFFDCategory=KJMCOP=SwitzerlandDelivery_Pre-orderLanguage_EnglishPA=Not yet availablePrice_€50 to €100PS=Activesoftlaunch

Will deliver when available. Publication date 15 Oct 2024

Product Details
  • Dimensions: 155 x 235mm
  • Publication Date: 24 Sep 2024
  • Publisher: Springer International Publishing AG
  • Publication City/Country: Switzerland
  • Language: English
  • ISBN13: 9783031338847

About

Antonio Scalia is the Head of the Financial Risk Management Directorate at the Bank of Italy and a member of the ECBs Risk Management Committee. He earned the Laurea in Economics with honours from LUISS University in Rome an M.Sc. in Economics from the LSE and a Ph.D. in Finance from the London Business School. He has published many articles on leading international economic and finance journals on issues including monetary policy implementation and bank regulation the sovereign bond market and the effectiveness of foreign exchange intervention.

Customer Reviews

Be the first to write a review
0%
(0)
0%
(0)
0%
(0)
0%
(0)
0%
(0)
We use cookies to ensure that we give you the best experience on our website. If you continue we'll assume that you are understand this. Learn more
Accept