Recalibrar el riesgo climático: por qué los modelos financieros se están quedando cortos episode artwork

EPISODE · Feb 23, 2026 · 21 MIN

Recalibrar el riesgo climático: por qué los modelos financieros se están quedando cortos

from Sustainability Policy & Research Weekly · host Red de Profesionales de la Sostenibilidad en España

Título: Recalibrating Climate Risk. Aligning Damage Functions with Scientific Understanding.Autores: University of Exeter and Carbon Tracker.Descripción: El informe demuestra que los modelos financieros y de gestión de riesgos climáticos infraestiman gravemente los impactos físicos y de transición, y propone actualizar supuestos, escenarios y horizontes temporales para reflejar mejor los riesgos sistémicos y no lineales asociados al cambio climático.

Episode metadata supplied by the publisher feed · Published Feb 23, 2026

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Recalibrar el riesgo climático: por qué los modelos financieros se están quedando cortos

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