Collectivite Auteur :
Bank Al Maghrib
Année de Publication :
2024
Type : Rapport
Thème : Atmosphère
Couverture : Maroc
Section 1. Context
1.1 Financial sector context
1.2 Climate adaptation and resilience
1.2.1 Physical climate change trends
1.2.2 Climate adaptation and resilience policies
1.3 Climate mitigation
1.3.1 GHG emission trends
1.3.2 Climate mitigation policies
1.3.3 Challenges ahead for Morocco’s low carbon transition
Section 2. Climate risks for the financial sector
2.1 Physical risk
2.1.1 Methodology
2.1.2 Scenario description
2.1.3 Catastrophe modeling
2.1.4 Banks’ exposure to physical risks
2.1.5 Macroeconomic and financial modeling
2.2 Transition risks
2.2.1 Methodology
2.2.2 Scenario description
2.2.3 Exposure
2.2.4 Transmission channels to the financial sector
2.2.5 Banking sector transition risk vulnerability assessment
2.3 Caveats and assumptions
Section 3. Supervisory and banking sector’s response to climate risks
3.1 Supervisory and regulatory response to climate risks
3.2 Banking sector practices on climate risk
3.2.1 Strategy and governance
3.2.2 Risk management
3.2.3 Disclosure
Section 4. Concluding remarks and proposed next steps