NGFS ‘how-to’ guide allows central banks to take own specificities into account and decide on the scope and depth of their disclosure.
The finance sector came together in Glasgow, but different rules and perspectives may yet divide them.
Reflections on the successes and failures of COP26 must motivate the public and private sectors.
Guidance for banks on corporate governance, internal control frameworks, risk management, risk reporting, and scenario analysis, among other areas.
The Bank of England is exploring whether to use capital add-ons or scalars to address weaknesses in climate risk management.
The fund will help channel central bank reserves to green projects in Asia Pacific, complementing two other green bond funds already launched...
Central banks are increasingly using climate scenarios to identify, assess and understand climate risks in their economies and financial systems, according to...
Central banking body recommends close monitoring of further ESG market developments to manage financial risks.
European Commission report finds most European banks are failing to highlight, measure and report on their ESG risks.
Joint Committee on Climate Change committed to early adoption of the taxonomy, ahead of the July 2022 deadline.
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