Research | A status report on financial institutions’ experiences from working with green, non green and brown financial assets and a potential risk differential
A status report on financial institutions’ experiences from working with green, non green and brown financial assets and a potential risk differential

A status report on financial institutions’ experiences from working with green, non green and brown financial assets and a potential risk differential

31 May 2020

This 2020 report presents the results from a survey that assesses whether a risk differential can be detected between green, non-green and brown financial assets (loans and bonds). Based on information obtained by 49 banks, it presents a snapshot of current practices among financial institutions in their asset allocation.

 

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