Assessing biodiversity-related financial risks
Navigating the landscape of existing approaches
Although measurements of biodiversity-related financial risks are in their infancy,
several metrics and indicators are available to assess their impacts and dependencies
in the financial system, and approaches are emerging to translate biodiversity risks
into financial risks. This mapping paper provides a comprehensive catalogue and literature
review of existing and emerging definitions, key metrics and indicators, measurement
approaches, tools and practices for central banks, financial supervisors, and financial
market participants to measure biodiversity-related financial risks.
Available from April 27, 2023
In series:OECD Environment Policy Papersview more titles