EasterBlack-owned or founded brands at TargetGroceryClothing, Shoes & AccessoriesBabyHomeFurnitureKitchen & DiningOutdoor Living & GardenToysElectronicsVideo GamesMovies, Music & BooksSports & OutdoorsBeautyPersonal CareHealthPetsHousehold EssentialsArts, Crafts & SewingSchool & Office SuppliesParty SuppliesLuggageGift IdeasGift CardsClearanceTarget New ArrivalsTarget Finds#TargetStyleTop DealsTarget Circle DealsWeekly AdShop Order PickupShop Same Day DeliveryRegistryRedCardTarget CircleFind Stores

Climate Risks in the Banking Industry - by Gianluca Santilli (Hardcover)

Climate Risks in the Banking Industry - by  Gianluca Santilli (Hardcover) - 1 of 1
$42.99 sale price when purchased online
$44.99 list price
Target Online store #3991

About this item

Highlights

  • As climate change intensifies globally, it also poses unprecedented challenges to the banking sector that require attention.
  • About the Author: Gianluca Santilli is a Research Fellow at the University of Milan (Italy), and a Teaching Assistant in Financial Markets and Institutions at the University of Roma Tre (Italy).
  • 143 Pages
  • Business + Money Management, Industries

Description



Book Synopsis



As climate change intensifies globally, it also poses unprecedented challenges to the banking sector that require attention. This book examines how climate risks are reshaping the banking industry. Unlike the existing literature, which is mostly practitioner-oriented, this manuscript provides readers with a detailed and research-based analysis of both physical and transition risks, bridging the gap between climate science and banking theory from a global perspective. Climate Risks in the Banking Industry seeks to examine the development of these issues through different lenses by asking some important theoretical and practical questions. Is it possible to establish an academic framework for the transmission of climate risks through banking systems, and what empirical evidence supports these theoretical models? What regulatory approaches are being developed globally to address climate-related financial risks, and how do these differ across jurisdictions? How are financial institutions implementing climate risk management frameworks in practice, and what are the challenges in translating theoretical models into operational tools? In line with the above objectives, this volume provides a framework that maps the existing academic research on climate risks in banking and offers a basis for future studies and practical applications. It includes an in-depth comparative analysis of international regulatory responses to provide a truly global vision. The book also examines how physical and transition risks affect different banking businesses and products, assesses current risk methodologies and their limitations, and proposes innovative approaches for integrating climate considerations into existing risk management frameworks. It can serve as an important resource for academics in banking, finance and environmental studies, while also providing valuable implications for policymakers, regulators and advanced students.



From the Back Cover



As climate change intensifies globally, it also poses unprecedented challenges to the banking sector that require attention. This book examines how climate risks are reshaping the banking industry. Unlike the existing literature, which is mostly practitioner-oriented, this volume provides readers with a detailed and research-based analysis of both physical and transition risks, bridging the gap between climate science and banking theory from a global perspective. Climate Risks in the Banking Industry seeks to examine the development of these issues through different lenses by asking important theoretical and practical questions. It provides a framework that maps the existing academic research on climate risks in banking and offers a basis for future studies and practical applications. It includes an in-depth comparative analysis of international regulatory responses to provide a truly global vision. The book also examines how physical and transition risks affect different banking businesses and products, assesses current risk methodologies and their limitations, and proposes innovative approaches for integrating climate considerations into existing risk management frameworks. It serves as an important resource for academics in banking, finance, and environmental studies while also providing valuable implications for policymakers, regulators, and advanced students.

Gianluca Santilli is a Research Fellow at the University of Milan (Italy), and a Teaching Assistant in Financial Markets and Institutions at the University of Roma Tre (Italy). He gained his PhD in Banking and Finance at the University of Rome Tor Vergata (Italy). He also holds a second level Master in Finance and Sustainable Development from the Catholic University of the Sacred Heart in Milan (Italy). His research interests focus on the themes of sustainable finance, digitalisation of financial services, and bank regulation. His works have been presented to research conferences and published in international academic journals. He previously worked for primary financial institutions.



About the Author



Gianluca Santilli is a Research Fellow at the University of Milan (Italy), and a Teaching Assistant in Financial Markets and Institutions at the University of Roma Tre (Italy). He gained his Ph.D. in Banking and Finance at the University of Rome Tor Vergata (Italy). He graduated in Finance at the University of Roma Tre (Italy). He also holds a second level Master in Finance and Sustainable Development from the Catholic University of the Sacred Heart in Milan (Italy). His research interests focus on the themes of sustainable finance, digitalisation of financial services, as well as bank regulation. His works have been presented to research conferences and published in international academic journals. He previously worked for primary financial institutions.

Dimensions (Overall): 8.34 Inches (H) x 6.22 Inches (W) x .57 Inches (D)
Weight: .75 Pounds
Suggested Age: 22 Years and Up
Number of Pages: 143
Genre: Business + Money Management
Sub-Genre: Industries
Publisher: Palgrave MacMillan
Theme: Financial Services
Format: Hardcover
Author: Gianluca Santilli
Language: English
Street Date: July 16, 2025
TCIN: 1005419763
UPC: 9783031958076
Item Number (DPCI): 247-36-1152
Origin: Made in the USA or Imported

Shipping details

Estimated ship dimensions: 0.57 inches length x 6.22 inches width x 8.34 inches height
Estimated ship weight: 0.75 pounds
We regret that this item cannot be shipped to PO Boxes.
This item cannot be shipped to the following locations: American Samoa (see also separate entry under AS), Guam (see also separate entry under GU), Northern Mariana Islands, Puerto Rico (see also separate entry under PR), United States Minor Outlying Islands, Virgin Islands, U.S., APO/FPO

Return details

This item can be returned to any Target store or Target.com.
This item must be returned within 90 days of the date it was purchased in store, shipped, delivered by a Shipt shopper, or made ready for pickup.
See the return policy for complete information.

Trending Non-Fiction

Related Categories

Get top deals, latest trends, and more.

Privacy policy

Footer

About Us

About TargetCareersNews & BlogTarget BrandsBullseye ShopSustainability & GovernancePress CenterAdvertise with UsInvestorsAffiliates & PartnersSuppliersTargetPlus

Help

Target HelpReturnsTrack OrdersRecallsContact UsFeedbackAccessibilitySecurity & FraudTeam Member ServicesLegal & Privacy

Stores

Find a StoreClinicPharmacyTarget OpticalMore In-Store Services

Services

Target Circle™Target Circle™ CardTarget Circle 360™Target AppRegistrySame Day DeliveryOrder PickupDrive UpFree 2-Day ShippingShipping & DeliveryMore Services
PinterestFacebookInstagramXYoutubeTiktokTermsCA Supply ChainPrivacy PolicyCA Privacy RightsYour Privacy ChoicesInterest Based AdsHealth Privacy Policy