How Brexit Raises Risk of Financial Instability for U.S. July 26, 2016 The U.S. financial system faces greater potential instability due to Britain’s decision to leave the European Union while low and...
Institutional Investors Ignore Climate Risks Despite Bank of England Warning May 2, 2016 By Jessica Shankleman The number big investors ignoring climate change risk increased last year despite a stark warning from Bank of England Governor...
Climate Risk May Hit Equity Portfolios as Investor Sentiment Shifts: Study November 12, 2015 By Anna Hirtenstein Equity portfolios may lose as much as 45 percent of their value due to shifting investor sentiment about climate change,...
Bank of England Governor: Insurers Face Huge Exposure to Climate Change Risks September 30, 2015 By Scott Hamilton Bank of England Governor Mark Carney said UK insurers face potentially “huge” exposure to shifts in climate-change policy and Group...
European Central Bank Reports Rise in Financial Stability Risk November 27, 2013 By Jana Randow The European Central Bank said the risk to financial stability from global market turbulence has increased in the past six...