Our Ortec Finance Climate Scenarios offer a realistic assessment of how climate change will impact macroeconomies, asset classes and sectors. This assessment plays a vital role in helping financial institutions to manage their portfolio’s risk exposure and resilience to climate change while considering traditional investment risks and other challenges in an increasingly tumultuous landscape.

As part of the official release of our 2025 Ortec Finance Climate Scenarios, this webinar recording further explains our latest update and how these seven scenarios can practically help financial institutions understand:

  • How and to what extent financial markets could price-in climate risks to reflect rising physical risks and/or shifts in the low-carbon policy landscape
  • How short-term shocks, stranded assets and market overreaction in response to the above could impact economies, asset classes and sectors
  • How the insights obtained from these scenarios can be utilized to inform investment beliefs, capital and strategic asset allocation as well as investment selection and monitoring

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