Forward looking indicators are needed to assess how climate change could impact investors and financial markets in the future. They enable investors to identify the future opportunities in terms of expected return on investments.

Our approach

South Pole fosters improved understanding of potential climate impact on the financial sector, by conducting quantitative analysis of potential avoided emissions related to investments. Our approach includes the following services:

  • Analysis of Potentially Avoided Emissions, i.e. an innovative metric to quantify the positive climate impact of one or several products or services offered by a company.
  • Green bond impact assessments for green bond frameworks and individual bonds and by considering framework principles, allocation of proceeds and, when available, project-level information.
  • Capacity building for green bond issuance as well as climate and SDG impact assessment, tailored to individual needs

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