Climate Finance
Australia’s Trial by Fire: The New Economic Reality of Climate Risk
Australia’s recurring bushfires are a critical stress test for its economy, reshaping risk for investors, banking, and the stock market.
Beyond 2050: The Urgent Financial Case for Tackling Near-Term Climate Change
Focusing on “Net Zero by 2050” ignores the urgent need to cut near-term warming. The smart financial strategy is to target super pollutants like methane.
The Profit Paradox: How Reinsurers Are Making Billions by Insuring Less
Reinsurers are enjoying a profit boom by strategically cutting coverage for major disasters, raising critical questions about the future of risk and insurance.
Beyond the Brink: Why Climate Tipping Points Are the Ultimate Black Swan for the Global Economy
Climate tipping points are not just an environmental issue; they represent the biggest unpriced, non-linear risk to the global economy and financial markets.
The Ticking Time Bomb in Your Portfolio: Why International Climate Law is Reshaping Finance
International climate law, once seen as toothless, is now a major financial risk as courts force governments and corporations to act.
Shell on Trial: Why a Landmark Climate Lawsuit Could Reshape the Future of Energy Investing
A landmark UK lawsuit by typhoon survivors against Shell signals a new era of climate risk, with profound implications for finance, ESG investing, and the economy.
A Red Line Crossed: Why the 1.5°C Climate Breach is a Tipping Point for the Global Economy
A critical climate threshold is being crossed, signaling a new era of volatility and risk for the global economy, finance, and investment portfolios.
The ‘Hardiest Bug’ Economy: A Darwinian Guide to Investing in an Age of Chaos
In a volatile global economy, only the most resilient companies will thrive. This guide explores a Darwinian approach to investing for long-term survival.
The Trillion-Dollar Impasse: Why the COP30 Climate Deadlock is a Critical Signal for Global Finance
The UN climate summit’s deadlock over fossil fuels and finance is a red flag for the global economy, creating major risks for investors and markets.
The Trillion-Dollar Pivot: Why Bill Gates’ Climate Shift Is a Wake-Up Call for Investors
Bill Gates’ shift to climate adaptation is a wake-up call. This pivot from mitigation is creating a multi-trillion-dollar “resilience revolution” for investors.
COP30 Crossroads: Investing in a World Reshaping its Climate Economy
COP30 looms amid geopolitical tension, reshaping climate finance. Explore the new economic landscape for investors, from China’s plans to Brazil’s Amazon economy.
Amazon’s Crossroads: Why COP30 in Belém is a High-Stakes Gamble for Global Finance
COP30 in the Amazon is a critical test for global finance. Can market-based solutions and fintech finally make a living rainforest more valuable than a dead one?