Available on-demand


Why financial markets should be using future flood risk data

Wednesday 29 March, 08:00-09:00 GMT / 16:00-17:00 SGT and 16:00-17:00 GMT / 09:00-10:00 PST


Climate change is a financial issue, and climate risk is financial risk, with hard-hitting implications for businesses, lenders and investors. 

There’s no shortage of data available today, but how do you translate that data into actionable risk-intelligence at an asset and portfolio level, apply future-based scenarios, and build models that estimate potential losses?

Watch the webinar on-demand to learn:

  • Why understanding flood risk should be at the top of your climate risk agenda
  • How flood-risk data can be translated into actionable insights at an asset and portfolio level
  • How you can leverage climate scenario analysis to estimate potential impact on asset and portfolio value
  • Why asset owners, lenders and investors are turning to physical risk and catastrophe models to mitigate exposure
Why financial markets should use future flood risk data - video thumbnail

Climate risk tools for financial markets