International Conference on Integrating Climate-Related Financial Risks In The Institutional Frameworks Governing Banking Ecosystem
About This Conference
This international conference convenes leading economists, financial regulators, and banking scholars to examine the systemic integration of climate-related financial risks into institutional governance frameworks. The event aims to bridge the gap between climate science and macroeconomic policy, fostering a robust dialogue on how banking ecosystems can transition toward sustainable financial stability. Participants will explore novel risk-assessment methodologies and regulatory strategies essential for mitigating the long-term impacts of climate change on global financial markets.
Call for Papers
We invite original research papers, policy analyses, and case studies that address the intersection of climate risk, banking regulation, and institutional resilience. Submissions utilizing empirical, theoretical, or comparative approaches to evaluate the efficacy of current climate-related financial disclosures and risk management frameworks are highly encouraged.
Details
Start Date
Mar 01, 2027
End Date
Mar 03, 2027
Format
In-Person
Views
3
Get Updates
Be notified if the deadline is extended, dates change, or important updates are posted.
Share
Manage Your Conference
Need a platform for paper submissions, peer reviews, and scheduling?
Try SharpConferenceRelated Conferences
More in Economics & Finance →Reviews
Log in to leave a review for this conference.
No reviews yet. Be the first to review this conference!