Sharma Risk and Resilience in Sustainable Climate Finance

Risk and Resilience in Sustainable Climate Finance

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Beschreibung

The book "Risk and Resilience in Sustainable Climate Finance" explores the critical role of financial risk management and resilience-building strategies in achieving sustainable climate finance. It examines how financial institutions, policymakers, and investors can integrate climate risk assessment, adaptation strategies, and innovative financial instruments to ensure long-term sustainability. The book also delves into regulatory frameworks, technological advancements, and market-based solutions that enhance resilience against climate-related financial risks.


The book "Risk and Resilience in Sustainable Climate Finance" explores the critical role of financial risk management and resilience-building strategies in achieving sustainable climate finance. It examines how financial institutions, policymakers, and investors can integrate climate risk assessment, adaptation strategies, and innovative financial instruments to ensure long-term sustainability. The book also delves into regulatory frameworks, technological advancements, and market-based solutions that enhance resilience against climate-related financial risks.


Integrated Approach Bridging Gaps- Links climate risk Global and Scalable

Autor*in

Vikas Sharma

Themen in »Risk and Resilience in Sustainable Climate Finance«

Climate Finance Risk Management Resilience Innovation FinTech

Stimmen zu »Risk and Resilience in Sustainable Climate Finance«

Details

ISBN: 9783032190765
Verlag: Springer International Publishing
Erscheinung: 17.05.2026

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