Disponible en Español

Course on Climate Risk and Financial Stability I

July 18 - 22, 2022
Videoconference

Organizing Institutions

Centro de Estudios Monetarios Latinoamericanos, A. C.
Toronto Centre

Content
  1. Virtual ice breaking session
  2. Program opening
  3. Session 1: Understanding and Managing Environmental Risk
  4. Session 2: Risk Management by Financial Institutions
  5. Session 3: Climate Scenario Analysis and Stress Testing
  6. Session 4: The Development of Definitions and Standards to Identify Green Assets
  7. Session 5: Adapting Macroprudential Frameworks to Climate Change Risks
  8. Session 6: Simulation Preparation
  9. Session 7: Climate Risk Simulation Exercise
  10. Session 8: Simulation debrief
  11. Session 9: Panel Discussion: Country Experiences
Objetive

The course aims at introducing analytical tools used by central banks and financial supervisory authorities to assess and monitor financial stability threats arising from environmental risks.

Aimed at

Aimed at upper-middle to senior staff working in the areas of financial stability or financial risk management from CEMLA’s Membership, as well as collaborating institutions.

Coordinator

Dr. Peter Karlström
Senior Economist