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Data and Methods to Assess Climate-Related and Environmental Risks in Italy

  • Luciano Lavecchia,
  • Jacopo Appodia,
  • Paolo Cantatore,
  • Rita Cappariello,
  • Stefano Di Virgilio,
  • Alberto Felettigh,
  • Andrea Giustini,
  • Valeria Guberti,
  • Danilo Liberati,
  • Giorgio Meucci,
  • Stefano Piermattei,
  • Federico Schimperna,
  • Katia Specchia

摘要

Monitoring climate-related (and environmental) financial risks requires high-quality and highly granular data. However, these are scarcely available, except for little data on a small number of counterparty firms. This chapter sheds light on the sustainable data gap in Italy, with a special focus on the climate and environmental components. First, we take stock of the data needs arising from firms’ transition plans, commitments to net zero and financial analyses, as well as those stemming from international, European and national regulations and from supervisory requirements. Second, we map the existing and available data regarding climate, energy, greenhouse gas (GHG) emissions, climate-related financial risks and existing but inaccessible data. Finally, we identify any missing data, highlighting the areas that are most affected by the data gap.