ENVIRONMENTAL HAZARDS AND RISK MANAGEMENT IN THE FINANCIAL SECTOR: A SYSTEMATIC LITERATURE REVIEW

Research output: Contribution to journalResearch articleContributedpeer-review

Contributors

Abstract

We conduct a systematic literature review on environmental and climate-related risk management in the financial sector. We classify the current literature into three categories: (i) the impact of environmental concerns on financial risk; (ii) the current state of environmental risk practices in the financial sector; and (iii) measures to assess the financial exposure to environmental risks. We find that financial institutions can reduce their risk exposure by highly committing with environmental responsibility and performance. Moreover, the increase in willingness to assess climate-related financial risk incentivizes corporate managers to adopt more proactive environmental policies and practices.

Details

Original languageEnglish
Pages (from-to)512-538
Number of pages27
JournalJournal of Economic Surveys
Volume35
Issue number2
Publication statusPublished - Apr 2021
Peer-reviewedYes

External IDs

ORCID /0000-0003-4359-987X/work/142255153

Keywords

ASJC Scopus subject areas

Keywords

  • Banking, Climate, Environment, Financial Institutions, Risk Management