
01 · Assess
Climate Risk Analysis
The lab specializes in assessing, projecting, and managing climate-related financial risks by conducting empirical analysis, scenario analysis, and stress testing. Our focus is on assessing the impacts of climate risks on the economic system, financial sector, energy system, and infrastructure assets, as well as exploring potential policy solutions.
- Economic system: We conduct empirical analysis to evaluate the effects of climate risks on the financial condition and profitability of companies. We also assess industry-specific risks under climate scenarios, analyze industrial restructuring, and propose policy recommendations.
- Financial sector: We analyze the impact of climate risk on financial instruments and investment assets. Our work includes evaluating the stability of assets, institutions, and financial markets under different climate scenarios, and proposing relevant policies.
- Infrastructure assets: We assess the impact of climate risk on infrastructure systems and assets. We also analyze potential infrastructure value losses under climate scenarios and provide policy recommendations to mitigate these risks.

