The definitive guide to measuring, pricing, and managing carbon risk in financial markets—with complete Python code, regulatory frameworks, and real-world case studies.
THIS BOOK IS FOR
Finance Professionals: Credit analysts, risk managers, portfolio managers integrating climate into default models, stress tests, and investment decisions
Graduate Students: In finance, economics, environmental studies—comprehensive textbook suitable for courses in carbon markets, climate finance, ESG investing
Corporate Sustainability Officers: Measuring carbon footprints, navigating CSRD compliance, calculating CBAM obligations, setting reduction targets
Policymakers & Regulators: Designing carbon pricing systems, evaluating disclosure requirements, assessing border adjustment mechanisms
Researchers: Rigorous quantitative frameworks, extensive literature review, empirical data for validation and extension
Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.
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Paperback. Etat : new. Paperback. The definitive guide to measuring, pricing, and managing carbon risk in financial markets-with complete Python code, regulatory frameworks, and real-world case studies. THIS BOOK IS FORFinance Professionals: Credit analysts, risk managers, portfolio managers integrating climate into default models, stress tests, and investment decisionsGraduate Students: In finance, economics, environmental studies-comprehensive textbook suitable for courses in carbon markets, climate finance, ESG investingCorporate Sustainability Officers: Measuring carbon footprints, navigating CSRD compliance, calculating CBAM obligations, setting reduction targetsPolicymakers & Regulators: Designing carbon pricing systems, evaluating disclosure requirements, assessing border adjustment mechanismsResearchers: Rigorous quantitative frameworks, extensive literature review, empirical data for validation and extensionMeasure, price, and manage carbon risk with rigor. Complete Python code. Real case studies. Full mathematical derivations. The quantitative framework for carbon-adjusted credit risk that banks actually need. This item is printed on demand. Shipping may be from multiple locations in the US or from the UK, depending on stock availability. N° de réf. du vendeur 9798246773796
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Etat : As New. Unread book in perfect condition. N° de réf. du vendeur 52848121
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Paperback. Etat : new. Paperback. The definitive guide to measuring, pricing, and managing carbon risk in financial markets-with complete Python code, regulatory frameworks, and real-world case studies. THIS BOOK IS FORFinance Professionals: Credit analysts, risk managers, portfolio managers integrating climate into default models, stress tests, and investment decisionsGraduate Students: In finance, economics, environmental studies-comprehensive textbook suitable for courses in carbon markets, climate finance, ESG investingCorporate Sustainability Officers: Measuring carbon footprints, navigating CSRD compliance, calculating CBAM obligations, setting reduction targetsPolicymakers & Regulators: Designing carbon pricing systems, evaluating disclosure requirements, assessing border adjustment mechanismsResearchers: Rigorous quantitative frameworks, extensive literature review, empirical data for validation and extensionMeasure, price, and manage carbon risk with rigor. Complete Python code. Real case studies. Full mathematical derivations. The quantitative framework for carbon-adjusted credit risk that banks actually need. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. N° de réf. du vendeur 9798246773796
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Vendeur : Rarewaves.com UK, London, Royaume-Uni
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