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Pricing climate change exposure

Sautner, Zacharias; van Lent, Laurence; Vilkov, Grigory; Zhang, Ruishen (2023). Pricing climate change exposure. Management Science, 69(12):7540-7561.

Abstract

We estimate the risk premium for firm-level climate change exposure among S&P 500 stocks and its time-series evolution between 2005 to 2020. Exposure reflects the attention paid by market participants in earnings calls to a firm’s climate-related risks and opportunities. When extracted from realized returns, the unconditional risk premium is insignificant but exhibits a period with a positive risk premium before the financial crisis and a steady increase thereafter. Forward-looking expected return proxies deliver an unconditionally positive risk premium with maximum values of 0.5%–1% p.a., depending on the proxy, between 2011 and 2014. The risk premium has been lower since 2015, especially when the expected return proxy explicitly accounts for the higher opportunities and lower crash risks that characterize high-exposure stocks. This finding arises as the priced part of the risk premium primarily originates from uncertainty about climate-related upside opportunities. In the time series, the risk premium is negatively associated with green innovation; Big Three holdings; and environmental, social, and governance fund flows and positively associated with climate change adaptation programs.

Additional indexing

Item Type:Journal Article, refereed, original work
Communities & Collections:03 Faculty of Economics > Department of Finance
Dewey Decimal Classification:330 Economics
Uncontrolled Keywords:Management Science and Operations Research, Strategy and Management
Scope:Discipline-based scholarship (basic research)
Language:English
Date:1 December 2023
Deposited On:06 Jul 2023 12:00
Last Modified:29 Dec 2024 02:38
Publisher:Institute for Operations Research and the Management Science
ISSN:0025-1909
OA Status:Green
Publisher DOI:https://doi.org/10.1287/mnsc.2023.4686
Other Identification Number:merlin-id:23837
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