Content by Topic: Climate Risks

Understanding climate risk implications for the financial sector; identifying proactive responses and new market opportunities

Climate change poses significant risks to the financial system and the economy. Disruptions from more frequent and severe extreme weather events as well as risks stemming from the transition to a low-carbon, net-zero economy will require work on several fronts: global policy action, technological innovation, more sustainable finance and large socio-economic changes.

Climate risks are challenging to assess with long time horizons and uncertainty as to future policy and socio-economic factors. They are global and economy-wide in nature and complex, varying from region to region and sector to sector. While efforts to decarbonize economies create opportunities for investment and green growth, they also carry transition risks.

GRI established a sustainable finance centre of excellence in 2019 with a considerable focus on climate risk, recognizing the critical global challenge to have widespread potential impact on economies, macro-economic security, and industries – including the financial sector. Since then, a wealth of research has been undertaken to elevate our understanding of the risks and identify relevant mitigation strategies.

Latest News in Climate Risks

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How to Distinguish the Good from Greenwashing: Greenwashing Risk in the Canadian Market and Mitigation Measures for Financial Institutions

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GRI Celebrates Earth Day

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Key Takeaways for the Financial Sector from Canada’s 2030 Emissions Reductions Plan

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Dynamic Portfolio Decisions with Climate Risk and Model Uncertainty

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Building Bridges: Using scientific information about the future of climate for asset-level financial risk assessment

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Water Risk Modeling: A Framework and Guidance for the Financial Sector

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Treading Water: Impact of Catastrophic Flooding on Canada’s Housing Market

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Financing The Energy Transition: The Outlook for Cleantech in Canada

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CSA Climate Consultation – Submission