Climate risk and financial stability Climate-related risk and financial stability ECB/ESRB Project Team on climate risk monitoring, 2021 Central bank mandates, sustainability objectives and the promotion of green finance Simon Dikau, Ulrich Volz, 2021 Climate risk and financial stability in the network of banks and investment funds Alan Roncoroni et al., 2021 The role of central banks and supervisors in scaling up sustainable finance and investment in the Global South Ulrich Volz et al., 2022 Climate risks and financial markets Hedging Climate Change News Robert F. Engle et al., 2020 Leveraging the Disagreement on Climate Change Theory and Evidence Laura Bakkensen et al., 2023 Green sentiment, stock returns, and corporate behavior Brièreand Ramelli, 2021 The green bond market: a potential source of climate finance for developing countries Josué Banga, 2018 Carbon footprints and GHG emissions Measuring the CO2 Footprint of European Households: A comprehensive approach Joxe Mari Barrutiabengoa et al., 2022 How likely are decarbonization targets? A data-driven approach Joxe Mari Barrutiabengoa et al., 2021 Output-side GHG Emission Intensity: A consistent international indicator Joxe Mari Barrutiabengoa et al., 2022 Decarbonization and digitalization How do digitalization and decarbonization efforts interact? Joxe Mari Barrutiabengoa et al., 2022 Enhancing digital sustainable finance: digital solutions to mobilise capital, assess environmental risks and enhance financial inclusion Simon Dikau et al. 2022 Climate finance in the Global South Green finance across the universe Kathrin Berensmann et al., 2019 Securing climate finance through national development banks Stephany Griffith-Jones et al., 2020 Blended finance in the poorest countries: The need for a better approach Samantha Attridge, Lars Engen, 2019 Structural and specific barriers to the development of a green bond market in Brazil Camila Yamahaki, 2020 Contact us email NameemailEmailJRC-FINANCEec [dot] europa [dot] eu