Strengthening climate resilience across real asset portfolios
8 July 2026, 3:00 PM BST
Climate risks are now financially material - creating urgent pressure for investors and financial institutions to understand and act on exposure at the asset level.
Run in partnership with ISS STOXX, this webinar will explore how financial institutions can gain clearer visibility into where physical climate risks and opportunities sit today – and how they may evolve over time.
Speakers will demonstrate how climate risk insights can help organisations make smarter, risk-aware decisions, strengthen resilience amid evolving regulatory expectations, and identify emerging risks and opportunities earlier to support long-term performance.
Speakers
Genevieve Redgrave (Moderator)
Senior Reporter, Environmental Finance
Josh Gilbert
Head of Geospatial Strategy, ISS STOXX
Thomas Van Rompaey
Global Responsible Investment Manager for Real Estate Equity and Debt, Axa IM
Topics of discussion
Constructing climate resilient portfolios: supporting capital allocation decisions by identifying assets with heightened exposure to extreme weather and climate-related vulnerabilities
Risk management: quantifying climate and geospatial risks at both asset and portfolio level to inform proactive mitigation strategies and resilience planning.
Investment and lending due diligence: assessing climate exposure during acquisitions, lending, and investment screening processes to support better-informed decisions.
Regulatory reporting and disclosure: enhancing transparency and supporting alignment with evolving frameworks including TCFD, SFDR, EU Taxonomy, and EBA Pillar 3 requirements.
Stewardship and engagement: providing actionable insights that help investment and stewardship teams engage portfolio companies on climate resilience and adaptation.