Advanced Analytical Methods for Climate Risk and ESG Risk Management, 9781394220090
Hardcover
Model climate risk, manage ESG: A practical guide for a changing world.

Advanced Analytical Methods for Climate Risk and ESG Risk Management

a concrete approach to modeling

$231.40

  • Hardcover

    496 pages

  • Release Date

    1 September 2024

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Summary

Navigating Climate Risk: Advanced Analytical Methods for ESG Management

A holistic view on climate risk and practical ways to model and measure it

Advanced Analytical Methods for Climate Risk and ESG Risk Management provides risk management professionals and other interested parties with an introduction to climate risk, a detailed history of climate change, and analytical risk management methods. Readers will gain insight on the potential impact of …

Book Details

ISBN-13:9781394220090
ISBN-10:139422009X
Series:The Wiley Finance Series
Author:Jorge R. Sobehart
Publisher:John Wiley & Sons Inc
Imprint:John Wiley & Sons Inc
Format:Hardcover
Number of Pages:496
Release Date:1 September 2024
Weight:703g
Dimensions:231mm x 160mm x 41mm
About The Author

Jorge R. Sobehart

JORGE SOBEHART has over 35 years of experience in advanced quantitative modelling in industry and government, having worked for prestigious institutions including the Atomic Energy Commission of Argentina (Nuclear Fusion Division), the Center for Nonlinear Studies at the US Los Alamos National Laboratory, Moody’s Investors Service, and CASA, a cutting-edge financial consulting start-up, making contributions in the fields of risk management, behavioral finance, theoretical and applied physics, computation and mathematical modeling. He also acted as a technical reviewer for several book editors and over a dozen professional journals in these fields. He is currently a Managing Director at a large global financial institution, leading analytics for wholesale credit and climate risk and risk ratings. During his career, he designed and developed frameworks for wholesale credit risk capital and allocation, credit and climate risk stress testing (CCAR, ICAAP, Climate Risk), credit reserves (CECL, IFRS9, FAS5), risk ratings, probability of default and various early warning tools of credit deterioration.

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