Handbook
Five Ways Financial Firms Are Getting Climate Risk Right
Climate-related risks are reshaping global finance, but many organisations are still struggling with how to integrate them effectively.
In this guide, we share five key lessons for financial institutions to integrate and advance climate risk management. Download now.
What's inside
- Refine your climate risk assessment strategies
- Address data gaps
- Navigate regulatory complexities
- Identify indirect climate-related risks
- Foster cross-functional collaboration
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Strengthen Climate Scenarios
Continuously Refine Your Models
Keep your climate risk scenarios accurate and relevant by updating them regularly. Ensure they capture evolving hazards, systemic risks, and asset-specific exposures to support stronger decisions and long-term planning.
Close Data Gaps
Leverage Advanced Climate Intelligence
Empower your teams with cutting-edge data and analytics. Use high-resolution, forward-looking insights to uncover hidden vulnerabilities, improve regulatory readiness, and build resilience into every portfolio.
Drive Collaboration
Build a Unified Climate Risk Strategy
Break down silos between risk, finance, operations, and strategy teams. Align decision-making, share expertise, and uncover new opportunities by integrating climate risk management across your entire organisation.
Let’s talk about climate risk, and how to get it right
Climate risk is no longer just a regulatory check-box; it's a bottom-line issue. And yet, so many firms are still struggling to figure out what “good” looks like.
We spotlight five real learnings on how to approach climate risk management, gathered from our expertise in helping firms in this journey. We've built this for real estate portfolio managers focused on asset performance and resilience; Risk, ESG, and Investment Leads in FIs; and decision-makers embedding climate into firmwide strategies.
Turn insights into action
Start building a smarter, more resilient investment approach today:


