Download Toolkit

This toolkit outlines practical ways to incorporate carbon pricing into forward-looking financial analysis through scenario-based hypotheticals and metrics. Using tools such as sensitivity analysis, marginal abatement cost curves, shadow pricing, and carbon-adjusted performance measures, it helps companies and investors evaluate how different regulatory and market pathways could affect profitability, capital allocation, and long-term resilience.

Investor Risk and Responsibilities | Toolkit

Five Dos and Don’ts to Get Ahead of the Curve

15 July 2025 - This toolkit distills key lessons from investors and companies on how to integrate climate considerations into strategy and capital allocation. Framed as practical dos and don’ts, it highlights how organizations can translate climate risks and opportunities into familiar financial concepts, avoid common pitfalls, and build resilient, long-term approaches that align sustainability with the underlying business case.

Learn More

Investor Risk and Responsibilities | Toolkit

Carbon Beta

14 July 2025 - Carbon beta is a tool designed to measure transition risk in individual stocks and portfolios of stocks. It is a forward-looking measure that determines the extent to which an asset’s price correlates with a carbon risk factor.

Learn More

Investor Risk and Responsibilities | Toolkit

Indicators for Scenario Analysis

14 July 2025 - This toolkit focuses on indicators that align with already established investment methodologies and concepts, essentially building on the “finance language” and expertise that committees and boards already possess, while applying it to climate concepts.

Learn More