Climate Change: Financial Risks and Opportunities

April 2026
Capacity Building Opportunities

Abstract

Our aim is to help you answer a simple question: does climate risk matter to investors? We do this by defining the financial risks related to climate change and follow with the investment policies and risk management strategies that are taking shape. This programme is also a starting point for risk and strategy managers anticipating the impacts from the Financial Stability Board’s Task Force on Climate-Related Financial Disclosures asking firms to disclose the climate risks they face. In short, the programme is a primer on how global capital markets are responding to the world’s greatest environmental risk.

Duration: 4 weeks

Deadline: No deadline

Course Type: Free

Mode: Virtual

Training Provider: Imperial College London