menu
close

Venue

Webex
15:00-16:30 CET

Format

online

Date

Tuesday, February 15, 2022

In cooperation with

With attention to climate change on the rise, there is a heightened need for accurate risk quantification to underpin action in the public and private sector alike. The ESRB and ECB have mobilised their resources aimed at improving the measurement and modelling of climate-related risk, noting its clear financial stability angle. This seminar would share key results to date as published in ESRB reports of 2020 and 2021 

Program

Time
Tuesday, 15 February 2022
15:00
Climate-related risks: A financial stability angle for Europe
Opening by Ernest Gnan, OeNB I SUERF

Climate-related risks: A financial stability angle for Europe

Jean Boissinot, Banque de France
Paul Hiebert, ECB Presentation (pdf)
15:30
Panel Discussion
Chris Faint, Bank of England
Fabio M Natalucci, IMF Presentation (pdf)
Irene Monasterolo, EDHEC Business School Presentation (pdf)
16:30
End