Climate change is primarily a risk-management issue for investors. The interaction of uncertainty around climate impacts and our utility in extreme states argues for rapid coordinated global action. The transition away from carbon-intensive economic activities will take decades, but market expectations could change quickly. Positioning portfolios ahead of this transition is a timely strategy with potential for both risk and return payoffs.
Speakers:
- Mark Carhart, Chief Investment Officer, Kepos Capital
- Russ Wermers, Director, Center for Financial Policy
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