可持续贷款战略:提高工业贷款组合气候适应能力的框架

IF 1.6 3区 社会学 Q2 INTERNATIONAL RELATIONS Asia Europe Journal Pub Date : 2024-11-08 DOI:10.1007/s10308-024-00709-w
Neha Chhabra Roy
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引用次数: 0

摘要

本文强调了气候相关风险在银行和工业部门中的重要意义,强调了建立气候适应型应对体系和战略性贷款组合规划的必要性。该研究介绍了一种有效的方法,用于识别受影响行业的关键气候相关风险(clr),捕捉其多样化影响,对其进行量化,并随后设计最佳贷款组合。对文献的全面回顾和CLR专家的主要回应,加上二手数据来源,构成了我们分析的基础。首先,基于经验加权平均值,将CLR影响分为推和拉两类指标。随后,运用模糊逻辑理论,以跨行业综合指数的形式对CLR进行量化。最后,本文提出了基于均值方差的银行投资组合规划方法。拟议的控制方法评估了行业的严重程度,确定了行业的优先顺序,确定了根本原因,并建议了具有成本效益的战略,以增强银行生态系统的整体弹性。
本文章由计算机程序翻译,如有差异,请以英文原文为准。

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Sustainable lending strategies: a framework for enhancing climate resilience in industrial loan portfolios

This paper underscores the critical significance of climate-related risks within the banking and industrial sectors, emphasizing the need for a climate-resilient response system and strategic loan portfolio planning. The study introduces an efficient methodology for identifying key Climate-Linked Risks (CLRs) across impacted sectors, capturing their diverse impacts, quantifying them, and subsequently designing optimal loan portfolios. A comprehensive review of literature and primary responses from CLR experts, coupled with secondary data sources, forms the basis of our analysis. Initially, CLR impacts were categorized into push and pull indicators based on empirical weighted averages. Subsequently, fuzzy logic theory was employed to quantify CLR in form of composite index across industries. Finally, the study proposes portfolio planning for banks using mean variance portfolio. The proposed control approach assesses sectoral severity, prioritizes sectors, identifies root causes, and recommends cost-effective strategies, enhancing the overall resilience of the banking ecosystem.

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来源期刊
Asia Europe Journal
Asia Europe Journal INTERNATIONAL RELATIONS-
CiteScore
2.90
自引率
6.20%
发文量
8
期刊介绍: The Asia-Europe Journal is a quarterly journal dedicated to publishing quality academic papers and policy discussions on common challenges facing Asia and Europe that help to shape narratives on the common futures - including both risks and opportunities - of Asia and Europe. The Journal welcomes academically and intellectually rigorous research papers as well as topical policy briefs and thought pieces on issues of bi-regional interest, including management and political economy, innovation, security studies, regional and global governance, as well as on relevant socio-cultural developments and historical events. Officially cited as: Asia Eur J
期刊最新文献
Millets for sustainable development in India: a social cost benefit analysis from a policy perspective Examining the India-Middle East-Europe Economic Corridor (IMEC) as a collaborative infrastructure for transcontinental policymaking: an ICIO-LP analysis Sustainable lending strategies: a framework for enhancing climate resilience in industrial loan portfolios British economic strategy and regional institutions in Asia, 2016–2024 Securitising regionalism: mega-regional trade blocs, Indo-Pacific Economic Framework and supply chain alliances in Asia
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