Published 11/2024
MP4 | Video: h264, 1920×1080 | Audio: AAC, 44.1 KHz
Language: English | Size: 1.5 GB | Duration: 8h 11m
Master GARP SCR 2024: In-depth Crash Course with 500 Exam Questions on Climate Risk, Scenario Analysis and other topics
What you’ll learn
Understand Key Concepts: Gain a solid understanding of the core principles of sustainability and climate risk as outlined in the GARP SCR syllabus
Identify Critical Risk Factors: Learn to identify and assess the environmental, social, and governance (ESG) risks that impact financial institutions and global
Apply Exam Strategies: Master effective exam techniques and strategies to answer complex questions under time constraints, ensuring a high score on the SCR exam
Review Case Studies: Analyze real-world case studies on climate risk management and sustainable finance to deepen your practical understanding of the topics
Requirements
No prior knowledge or experience is required. This course is designed for beginners and professionals alike, providing all the foundational knowledge needed to prepare for the GARP SCR exam.
Description
This crash course is designed to give you a comprehensive understanding of the most critical concepts you need to know to ace the exam. With over 500 exam-pattern questions, detailed explanations, and practical examples, this course is your ultimate guide to mastering sustainable finance and climate risk assessment.In this course, you’ll dive into key topics such as:Climate and Nature Risk Assessment: Understand the impact of climate change on financial markets, corporations, and ecosystems, along with nature-based risk assessment techniques.Scenario Analysis: Learn how to apply scenario analysis to assess the potential risks and opportunities related to climate and sustainability.Sustainable Finance: Explore the latest trends in green and sustainable finance, including ESG (Environmental, Social, and Governance) factors, investment strategies, and market instruments.Transition Planning: Develop strategies for transitioning towards a low-carbon economy, including risk management, implementation techniques, and stakeholder engagement.Key Features:Over 500 exam-pattern questions to test your knowledge and improve your exam readiness.In-depth coverage of the most important areas of sustainable finance, climate risk, and transition planning.Practical examples, case studies, and real-world scenarios for better understanding.Designed by experts with extensive experience in sustainability, ESG, and risk management.Enroll now and get ready to excel in the GARP SCR 2024 exam! Let’s make your journey towards becoming a sustainability and climate risk professional a success.
Overview
Section 1: Foundations of Climate Change: What is Climate Change?
Lecture 1 What is climate change?
Lecture 2 Climate change before humans
Lecture 3 The Greenhouse effect
Lecture 4 Human Impact on Climate Change
Lecture 5 Understanding the Causes of Modern Climate Change: Climate Scenarios
Lecture 6 Impacts of Modern Climate Change
Lecture 7 Policy Responses: Adaptation
Lecture 8 Policy Responses: Mitigation
Lecture 9 Policy Responses: Geoengineering
Section 2: Sustainability
Lecture 10 Introduction to Sustainability
Lecture 11 ESG, Sustainability & Climate Risk Explained
Lecture 12 Sustainable Development Goals (SDGs)
Lecture 13 Ecosystem Services and Natural Capital
Lecture 14 Sustainability at Corporations: Introduction
Lecture 15 Greenwashing
Lecture 16 Sustainability Risks and Corporate Initiatives
Section 3: Climate Change Risk
Lecture 17 Introduction to Climate Change Risk
Lecture 18 Types of Climate Risks
Lecture 19 Physical Risks
Lecture 20 Transition Risks
Lecture 21 Stranded Human Capital, and the Path to a Just Transition
Section 4: Sustainability and Climate Policy, Culture, and Governance
Lecture 22 Section Introduction
Lecture 23 International Sustainability and Climate Policies
Lecture 24 Climate Risk and Financial Policy
Lecture 25 Integrating Climate Risk in Central Banking and Sustainable Investment
Lecture 26 Nature and Climate: Financial Implications
Section 5: Financing a Greener Future
Lecture 27 Section Introduction
Lecture 28 Trends in Sustainable and Climate Finance
Lecture 29 Green, Social, and Sustainable Bonds
Lecture 30 ESG and Climate Integration in Investing
Lecture 31 Existing and Emerging Definitions and Taxonomies
Section 6: Climate Risk Measurement and Management
Lecture 32 Section Introduction
Lecture 33 Micro Climate Risks
Lecture 34 Macro Climate Risks
Lecture 35 Climate Risk Measurement: Data and Analysis
Lecture 36 Climate Risk in Enterprise Risk Management (ERM)
Section 7: Climate Models and Scenario Analysis
Lecture 37 Introduction to Scenario Analysis
Lecture 38 IPCC Scenarios (RCPs and SSPs)
Lecture 39 IEA and Other Reference Scenarios
Lecture 40 Applications to Physical and Transition Risk
Lecture 41 Scenario Analysis Use Cases: Corporate and Finance
Section 8: Net Zero
Lecture 42 Introduction to Net Zero
Lecture 43 Global Net Zero Targets: Key Alliances & Commitments
Lecture 44 Pathways to Net-Zero: Countries, Cities, and Corporates
Lecture 45 Transition Plans: Key to Net-Zero Success
Lecture 46 Net-Zero Interim Targets
Lecture 47 Tracking Climate Progress and Disclosure Standards
Section 9: Climate and Nature Risk Assessment
Lecture 48 Climate Risk Assessment
Lecture 49 Global and Regional Protocols
Lecture 50 Scenario Analysis and TCFD recommendations
Lecture 51 Physical and Transition Risk Assessment
Lecture 52 Nature Risk Assessment: Introduction
Lecture 53 Biodiversity and Ecosystem Risk
Lecture 54 Water Risk Assessment
Section 10: Transition Planning and Carbon Reporting
Lecture 55 Transition Planning
Lecture 56 Principles for Transition Planning
Lecture 57 Engagement Strategy for Transition Planning
Lecture 58 Introduction to Carbon Reporting and Organizational Boundaries
Lecture 59 Scope 1, 2, 3 & Financed Emissions
Lecture 60 Scope 3 and Financed Emissions
Section 11: Question Bank
Professionals seeking to enhance their knowledge in sustainability and climate risk for career growth,Students preparing for the GARP SCR exam and looking for a structured revision guide,Risk management and finance professionals aiming to understand the implications of climate risk on global markets,Anyone interested in learning about sustainable finance, ESG risks, and climate-related regulatory frameworks without prior experience
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