Investing to tackle climate risk

Energy 3.0

Climate risk – are we doing enough?  The series proposes a decision-making framework to help asset owners assess and report on the impact of climate risk on their portfolios.
Climate risk – are we doing enough?  The series proposes a decision-making framework to help asset owners assess and report on the impact of climate risk on their portfolios.

Preparing portfolios for a low-carbon world

The transition to a low-carbon economy is redrawing the investment landscape, creating new risks and opportunities for investors. There are no bystanders: the energy transition affects everyone – and every portfolio.

In Energy 3.0, we aim to help investors identify, measure and address their climate risk exposure – both positive and negative. Specifically, we:

  • Explain why and how decarbonisation is a gamechanger for investors​
  • Examine what past energy transitions teach investors about the current one​
  • Explore what sustainable energy and transport systems would look like, and how to invest in them​
  • Propose a framework to help investors align their portfolios with the energy transition, both to try to capture the opportunity and offset climate risk

All investments carry the risk of capital loss.

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