Content Library

Content Library

Discover the impact of rising climate risk ratings

Climate risks are now being factored into both credit ratings and investment screens. Yet the financial risks and rewards related to climate change are still highly dependent on the commitment of governments to climate targets and there is still plenty of uncertainty over future carbon schemes. How can these risks be assessed with a high degree of confidence?

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Navigating the impact of new climate policies

An increasing number of central banks are integrating climate change factors into their policy mandates, primarily in the area of financial stability – although some also see climate risks as a potential factor for monetary policy. But implementation is still at an early stage and many challenges still remain related to data sets, data integrity, time horizons, the calibration of regulatory responses and so on.

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How to prepare for a seismic shift in climate-related investment

In October 2019, the Network for Greening the Financial System issued its ground-breaking report, ‘A Sustainable and Responsible Investment Guide for Central Banks’ Portfolio Management’. Its publication means the clock is now ticking for many central banks to start ‘greening’ their investments. But this may be easier said than done. 

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What have reserve management responses been to Covid-19?

May 27, 3pm BST

Central banks are once more being forced towards ever looser monetary policies amid heightened financial fragility and uncertainty related to the Covid-19 outbreak. At the same time, financial market volatility has shot up, with liquidity squeezes occurring, even in traditionally deep markets. How should reserve managers respond?

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Does reserve management diversification work?

July 15, 10am BST

Central banks have sought out new asset classes in a bid to improve lacklustre returns on traditional FX reserves, raising concerns they may have lost sight of their primary focus on safety and liquidity. Market stress brought on by the Covid-19 pandemic represent an important test to examine the performance of diversification strategies.

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National Asset-Liability Management Global Webinar Series - March

Access the content from our most recent webinar series covering markets & policy, asset diverisifcation, sustainability, risk management and digital money & CBDC.

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