Alternative Data Sources in Climate Change and Building the Sustainable Portfolio
Climate change risk is fast becoming a central part of government and corporate financial decision making. As the largest
investors globally make significant changes to incorporate ESG considerations into their investment strategies to build more
resilient portfolios, increasingly sophisticated approaches to climate risk assessment and management are needed. How are global
investors integrating sustainability into their processes, assimilating alternative climate data sources and risk analytics into
their portfolios, managing climate exposures, seizing opportunities and building more resilient societies and economies? What are
the major gaps and how can they be addressed?