Climate change and the main challenges for the financial sector.
The regulatory environment carbon taxes and key climate change initiatives.
Introduction to ESG (environmental social governance) measures and their interpretation.
The integration of sustainability in the performance evaluation of active portfolio managers.
Comparison of the performance of sustainable investments and traditional investments.
Introduction to the green and social bond markets and other ESG instruments.
Basic concepts of insurance and reinsurance.
Derivatives and insurance-linked securities (ILS) designed to manage climate risks (weather change floods).