This activity report seeks to provide an in-depth summary of existing literature, exploring the key issues relating to stranded assets through an analysis of three areas: 1. Understanding systemic climate risks: implications for the financial sector and lessons for central banks and financial regulators 2. Stranded assets and development: ensuring low carbon development pathways are resilient to asset stranding 3. Investor exposure to stranded assets: managing investments and portfolios exposed to environment-related risks.
Download file: English
Topics: Economic and Development Planning, Finance, Mitigation
Type of material: Activity Report
Publication date: 2016