11
Montague Street
London, WC1B 5BP
United Kingdom
UCL Institute for Innovation and Public Purpose
biodiversity finance, nature markets, blended finance, public investment
green transition, climate finance, green finance, credit policy, financial regulation, monetary policy, political economy, critical macro finance, market-based finance, shadow banks
Financial stability, financial regulation, macroprudential policy, central banks, environmental risks, nature-related financial risks, environmental degradation, biodiversity loss, sustainable finance, systemic risk, low carbon transition, climate change, climate-related financial risks
Nature Finance, Biodiversity conservation, Natural Capital, Nature Restoration, Political Economy, biodiversity governance
capital requirements, climate-related financial risks, precautionary apporach, uncertainty, systemic risk buffer, Basel framework
green transition, climate finance, sustainable finance, monetary policy, fiscal policy, financial stability, Covid-19 pandemic, net-zero transition, climate change, biodiversity loss, central banking, quantitative easing.
monetary policy, biodiversity, nature, finance risk, financial stability, central banks, european central bank
financial stability, financial regulation, macroprudential policy, central banks, environmental risks, biodiversity-related financial risks, environmental degradation, biodiversity loss, sustainable finance, systemic risk, land use, financialization, agri-finance
integrated assessment models, biodiversity, natural capital, nature scenarios, ecological macroeconomics, nature transition