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Risk and Resilience in Sustainable Climate Finance
Risk and Resilience in Sustainable Climate Finance
The book Risk and Resilience in Sustainable Climate Finance explores the critical role of financial risk management and resilience-building strategies in achieving sustainable climate finance. It examines how financial institutions, policymakers, and investors can integrate climate risk assessment, adaptation strategies, and innovative financial instruments to ensure long-term sustainability. The book also delves into regulatory frameworks, technological advancements, and market-based solutions that enhance resilience against climate-related financial risks.