4/07/2023 Sustainable Finance From Climate Stress Testing to Climate Value-at-Risk: A Stochastic Approach This paper proposes a comprehensive climate stress testing approach to measure the impact of transition risk on investment portfolios.
2/06/2022 Portfolio Strategy Shifts & Narratives #18 - The power of narratives for investors Narratives have been around for a long time but their impact on financial markets has not been fully exploited. Our analysis suggests that narratives...
7/04/2022 Machine Learning & Artificial Intelligence Monitoring Narratives: an Application to the Equity Market In this research, we show that variables from the Global Database of Events, Language and Tone (GDELT) convey significant informational content that can...
25/02/2022 Sustainable Finance The Recent Performance of ESG Investing, the Covid-19 Catalyst and the Biden Effect The purpose of this paper is to appraise recent ESG trends in global equity markets. It contributes to a broader research project started at Amundi in...
25/02/2022 Sustainable Finance Cascading Effects of Carbon Price through the Value Chain: Impact on Firm’s Valuation To avoid the worst climate change scenario, Greenhouse Gas (GHG) emissions should be reduced drastically during the next decades.
15/02/2022 Sustainable Finance Net Zero Carbon Metrics This research project is both an update of the analysis on carbon emissions trajectories proposed by Le Guenedal et al. (2020) and a companion study of...
3/01/2022 Portfolio Allocation Portfolio Construction with Climate Risk Measures Because of the 2015 Paris Agreement, the development of ESG investing and the emergence of net zero emission policies, climate risk is certainly the most...