气候变化
金融稳定
金融体系
业务
金融监管
透视图(图形)
金融危机
财务
经济
生态学
宏观经济学
生物
计算机科学
人工智能
作者
Emanuele Campiglio,Yannis Dafermos,Pierre Monnin,Josh Ryan-Collins,Guido Schotten,Misa Tanaka
标识
DOI:10.1038/s41558-018-0175-0
摘要
The academic and policy debate regarding the role of central banks and financial regulators in addressing climate-related financial risks has rapidly expanded in recent years. This Perspective presents the key controversies and discusses potential research and policy avenues for the future. Developing a comprehensive analytical framework to assess the potential impact of climate change and the low-carbon transition on financial stability seems to be the first crucial challenge. These enhanced risk measures could then be incorporated in setting financial regulations and implementing the policies of central banks. Climate change poses a financial risk but it is unclear what management role there is for central banks and financial regulators. This Perspective outlines research and policy directions needed for financial sector engagement.
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