Impact Private Debt: “Real” Impact VS “Paper” Impact
Climate change is not only an environmental crisis – it is becoming a profound economic challenge. As rising temperatures, extreme weather and shifting climate patterns reshape entire regions, the risks to assets, insurability and long-term returns are growing. The presentation explores how these systemic changes affect all funds – not just those with a green label. From carbon-exposed assets to stressed insurance markets, the financial implications are real, measurable and increasingly present. Investors and fund managers alike must rethink their exposure and resilience in a world where the climate is rewriting the rules.
As regulators tighten expectations and climate models sharpen, investors face a clear message: ignoring climate means mispricing risk. Integrating climate isn’t just a sustainability goal – its financial foresight.