I4CE has published a series of three Climate Briefs on the management of climate-related risks by financial actors. The analysis presented in these three Climate Briefs focuses on transition risks. These special edition technical notes present the key stakes around this issue by focusing on three questions:
- Why should financial actors align their portfolios with a 2°C pathway to manage transition risks?
- How could financial actors manage their exposure to climate risks?
- How should financial actors deal with climate-related issues in their portfolios today?