A trio of recent deals tells us something important about capital markets: that 2020 may be the year when climate-risk analysis of portfolios moves out of a niche into the mainstream. Investors and boards have begun to realise that it can be more costly to ignore these issues, than to try to grapple with them.
最近的三筆交易告訴了我們一些有關資本市場的重要動向:2020年,投資組合的氣候風險分析可能從小衆進入主流。投資者和董事會開始意識到,忽視這些問題的代價可能超過設法應對這些問題。
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