Climate Risk and Emerging Markets: Valuation, Volatility, and Portfolio Strategies – call for book chapters

Closes: 15 November 2024

Book editors: Dr. Afzalur Rahman, Dr. Mahfooz Alam, Dr. Shakeb Akhtar, and Dr. Mohsin Khan

Deadline: 15 November 2024

How to submit

This edited collection aims to explore the intricate relationship between climate risks and emerging markets, focusing on financial implications, market volatility, and strategic portfolio management. It addresses the growing need for investors, policymakers, and businesses to understand and mitigate climate-related risks in vulnerable emerging economies.

Topics of interest include:

Part 1: Understanding the Landscape
The Role of Emerging Markets in Global Economies
Climate Change and Developing Economies: A Growing Threat
Financial Impacts of Climate Risks
Measuring Climate Change Effects on Emerging Markets' Value

Part 2: Navigating Climate Risks
Immediate Market Reactions to Climate Events
Building Climate Resilience
Sustainable Diversification Strategies
Using Advanced Analytics for Climate Risk Management

Part 3: Shaping the Future
Policy Responses to Climate Change
Innovation and Entrepreneurship in the Green Economy
Climate Finance and Resilient Financial Systems
Challenges and Opportunities for a Climate-Smart Future

Part 4: Case Studies (Optional)
Emerging Markets’ Unique Climate Challenges and Solutions
Sustainable Development in Developing Economies
Key Terms in Climate Risk and Financial Markets

Important dates

  • 15 November 2024 – Abstract submission deadline
  • 20 November 2024 – Abstract acceptance
  • 31 December 2024 – Full chapter submission deadline
  • 10 January 2025 – Full chapter acceptance.

How to submit

Abstract submission deadline: 15 November 2024

Please send inquiries and submissions to: [email protected]