Carbon Value-at-Risk | FTSE 100 Portfolio Analysis Leaders & Laggards

  1. 25Y VaR is the 25 year Carbon Value at Risk based on a standard set of global and company specific emission scenarios and confidence levels.
  2. 1Y Cost is the cost of the prior financial years scope 1 and 2 (direct and indirect) greenhouse gas emissions.
  3. 25Y CLEAR is the ratio of the 25 year Carbon Value at Risk to Market Capitalisation.
  4. 1Y CLEAR is the ratio of the 1 year carbon cost to EBITDA.
  5. CLEAR is a suite of Carbon Liability to Earnings and Assets Ratio metrics.
  6. For definitions of Scope 1,2,3 direct and indirect emissions, refer to the GHG Protocol FAQs.



Carbon Value-at-Risk | FTSE 100 Portfolio Analysis Leaders & Laggards was last modified: August 10th, 2017 by admin