Climate Finance Thesis on Transition Risk
Publicada el 2026-07-29
Descripción de la oferta
I need a comprehensive and insightful master thesis on climate finance, focusing on transition risk and the carbon emission-return relation. The primary research method will be quantitative analysis. I have already written my dissertation, atleast a draft final version is present. With feedback from my supervisor. It needs mainly work on its methodology section and hence also the results, but basically overall too. Send me a message if you think you are up to the task. I dont mind the use of AI, probably many here do but it should be clearly visible you have knowledge and put your thought and mind into too not just a copy paste. Key Requirements: - In-depth understanding of climate finance, particularly transition risk -Understand of emissions and its relationship to returns - Strong quantitative analysis skills - Ability to interpret and analyze financial data related to carbon emissions and returns - Understanding in climate-related market shifts and their impacts on financial markets - Academic writing proficiency at the master's level Ideal Skills: - Background in finance, economics, or environmental studies - Experience with statistical software and data analysis - Prior research experience in climate finance or related fields - Strong analytical and critical thinking abilities The thesis should contribute original insights to the field and meet academic standards for a master's level thesis.
Skills
Fuente original: freelancer