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- Title
Editorial—FMII special issue: "Climate risk: Policy responses, financial market impacts and corporate risk management".
- Authors
Hasan, Iftekhar; Molyneux, Philip; Papadimitri, Panagiota; Pasiouras, Fotios
- Abstract
The article discusses a special issue of the journal Financial Markets, Institutions & Instruments, which focuses on the topic of climate risk and its impact on policy, financial markets, and corporate risk management. The special issue includes five papers that were selected through a rigorous review process. The papers cover a range of topics, including the effect of climate policy risk on syndicated bank loans, the relationship between corporate pollution and reputational exposure, the association between air temperature and sovereign bond returns, the moderating effect of carbon dioxide emissions on the relationship between corporate social responsibility and stock valuation, and the relationship between environmental performance and stock price crash risk. The authors provide detailed analyses and findings for each paper, contributing to the emerging literature on climate and finance.
- Subjects
UNIVERSITY of Portsmouth; INDUSTRIAL management; FINANCIAL markets; GOVERNMENT policy on climate change; CORPORATE image; FOSSIL fuel industries; SUSTAINABLE investing; FINANCIAL engineering; EDITORIAL boards
- Publication
Financial Markets, Institutions & Instruments, 2024, Vol 33, Issue 2, p63
- ISSN
0963-8008
- Publication type
Article
- DOI
10.1111/fmii.12191