Climate Change and Climate Finance in the Banking Industry examines how climate change is reshaping risk, strategy and disclosure in banking. Combining finance, climate economics and text analytics, the book investigates scenario analysis, physical and transition risks, and the sustainability disclosures of banks listed on the FTSE Italia All–Share. Its findings highlight gaps in completeness, transparency and comparability, stressing the need to embed climate risk into bank risk management and decision–making in line with the TCFD framework.