
Climate Finance Course
Climate finance is reshaping how capital is allocated across every asset class, and professionals who understand it hold a decisive edge. This course gives you the technical knowledge and practical frameworks to assess climate risk, structure green instruments, and align portfolios with net-zero targets. From carbon markets to blended finance, every module is built for real-world application.
What you will learn:
You will build a comprehensive understanding of how climate risk and opportunity translate into financial decisions across public and private markets. The course covers green bonds, sustainability-linked debt, ESG equity strategies, carbon pricing mechanisms, and blended finance structures for emerging markets. You will learn to apply scenario analysis, conduct climate risk assessments, and evaluate carbon credit integrity. Adaptation finance, resilience instruments, and just transition frameworks are also addressed in depth. By the end, you will be equipped to lead climate finance strategy, design governance frameworks, and produce credible climate disclosures for institutional stakeholders.
How you study in practice Climate Finance Course
How you practise Climate Finance Course
For companies looking to train their teams
With Dedika for businesses, the course includes exercises and examples tailored to your company and its specific needs.
Course content
8 Chapters • 40 LessonsDuration between 4 and 360 hours (you decide)
Chapter 1HideHide detailsSee detailsFoundations of Climate Finance
Foundations of Climate Finance
Lesson 1 • Major Actors and Institutions
Maps the ecosystem of multilateral banks, development finance institutions, and private players. Clarifies each actor's mandate and capital deployment role.
Lesson 2 • Climate Finance Flows and Gaps
Quantifies current investment flows and identifies where capital is insufficient. Provides the gap analysis framework used throughout the course.
Lesson 3 • Policy and Regulatory Drivers
Examines how international agreements and national policies create climate finance demand. Links regulatory signals to capital allocation decisions.
Lesson 4 • The Climate Science-Finance Link
Connects physical climate science to financial decision-making. Shows how emissions pathways translate into investment imperatives.
Lesson 5 • Defining Climate Finance
Establishes what climate finance is, why it exists, and how it differs from conventional finance. Anchors all subsequent chapters in shared terminology.
Chapter 2HideHide detailsSee detailsClimate Risk Assessment Fundamentals
Climate Risk Assessment Fundamentals
Lesson 1 • Risk Frameworks and Standards
Reviews leading international frameworks for climate risk disclosure and management. Positions practitioners to align internal processes with external expectations.
Lesson 2 • Climate Scenario Analysis
Introduces scenario-based approaches to stress-test financial positions under different warming outcomes. Builds the analytical foundation for portfolio resilience assessment.
Lesson 3 • Physical Risk Identification
Covers acute and chronic physical hazards and their financial consequences. Grounds risk identification in asset-level and portfolio-level analysis.
Lesson 4 • Transition Risk Identification
Examines policy, technology, and market shifts that create stranded assets and repricing. Connects transition pathways to sector-specific financial exposure.
Lesson 5 • Quantifying Financial Materiality
Translates qualitative risk identification into quantitative financial impact estimates. Enables prioritisation of risks by materiality for decision-makers.
Chapter 3HideHide detailsSee detailsGreen Debt Instruments
Green Debt Instruments
Lesson 1 • Second-Party Opinions and Verification
Covers the role of external reviewers in validating green debt claims. Enables practitioners to commission and interpret verification reports.
Lesson 2 • Green Bond Market Overview
Traces the growth of the green bond market and its key structural features. Provides market context for evaluating individual instruments.
Lesson 3 • Green Bond Principles and Standards
Explains voluntary principles and certification standards that define green bond integrity. Equips practitioners to evaluate compliance and credibility.
Lesson 4 • Social and Sustainability Bonds
Extends debt instrument analysis to social outcomes and blended sustainability goals. Connects social bond frameworks to climate co-benefits.
Lesson 5 • Sustainability-Linked Debt Instruments
Distinguishes sustainability-linked bonds and loans from use-of-proceeds instruments. Analyses key performance indicator design and step-up mechanisms.
Chapter 4HideHide detailsSee detailsSustainable Equity and Fund Strategies
Sustainable Equity and Fund Strategies
Lesson 1 • ESG Integration in Equity Analysis
Embeds environmental, social, and governance factors into fundamental equity valuation. Demonstrates how ESG data adjusts earnings forecasts and discount rates.
Lesson 2 • Climate-Themed Equity Strategies
Examines clean energy, low-carbon, and climate solutions equity strategies. Connects thematic investment rationale to portfolio construction choices.
Lesson 3 • Stewardship and Active Ownership
Covers shareholder engagement, proxy voting, and collaborative initiatives as climate tools. Links active ownership to real-economy emissions outcomes.
Lesson 4 • Sustainable Fund Structures
Reviews open-end, closed-end, and exchange-traded sustainable fund vehicles. Analyses how fund structure affects climate mandate implementation.
Lesson 5 • Portfolio Decarbonisation Techniques
Applies carbon footprinting and temperature alignment tools to equity portfolios. Enables practitioners to set and track portfolio-level climate targets.
Chapter 5HideHide detailsSee detailsBlended Finance and Public-Private Structures
Blended Finance and Public-Private Structures
Lesson 1 • Climate Fund Architecture
Examines the structure and governance of major multilateral climate funds. Connects fund design to access modalities and disbursement efficiency.
Lesson 2 • Structuring Deals in Emerging Markets
Addresses currency, political, and regulatory risks specific to emerging market climate deals. Provides mitigation tools and structuring adaptations for these contexts.
Lesson 3 • Project Finance for Climate Assets
Applies project finance principles to renewable energy and climate infrastructure. Covers cash flow modelling, risk allocation, and lender requirements.
Lesson 4 • Concessional Instruments and Mechanisms
Surveys grants, concessional loans, guarantees, and first-loss tranches as blending tools. Analyses when each instrument is appropriate for climate projects.
Lesson 5 • Blended Finance Principles
Defines blended finance, its rationale, and core design principles. Establishes the conceptual basis for all subsequent structuring discussions.
Chapter 6HideHide detailsSee detailsCarbon Markets and Pricing Mechanisms
Carbon Markets and Pricing Mechanisms
Lesson 1 • Carbon Market Finance Applications
Applies carbon market knowledge to corporate hedging, project investment, and portfolio management. Links carbon price exposure to financial strategy.
Lesson 2 • Voluntary Carbon Market Structure
Maps the voluntary carbon market's supply chain from project developer to end buyer. Identifies quality standards and integrity challenges.
Lesson 3 • Carbon Credit Quality and Integrity
Evaluates additionality, permanence, and co-benefit criteria for carbon credits. Enables practitioners to distinguish high-quality from low-quality offsets.
Lesson 4 • Carbon Pricing Fundamentals
Explains the economic rationale for carbon pricing and its main policy forms. Connects pricing signals to investment and operational decisions.
Lesson 5 • Compliance Carbon Markets
Covers the design and operation of emissions trading systems worldwide. Analyses allowance allocation, price formation, and market stability mechanisms.
Chapter 7HideHide detailsSee detailsClimate Finance for Adaptation
Climate Finance for Adaptation
Lesson 1 • Measuring Adaptation Outcomes
Introduces metrics and frameworks for tracking adaptation finance effectiveness. Addresses the attribution challenge unique to resilience investments.
Lesson 2 • Urban and Infrastructure Resilience Finance
Applies adaptation finance principles to cities and critical infrastructure. Covers municipal bonds, green infrastructure, and resilience-linked financing.
Lesson 3 • Adaptation Finance Landscape
Quantifies the adaptation finance gap and maps current funding sources. Establishes why adaptation is systematically underfunded relative to mitigation.
Lesson 4 • Resilience Bonds and Insurance Instruments
Examines catastrophe bonds, parametric insurance, and resilience bonds as adaptation tools. Analyses how risk transfer instruments mobilise adaptation finance.
Lesson 5 • Identifying Bankable Adaptation Projects
Develops criteria for assessing adaptation project viability and revenue potential. Bridges the gap between resilience needs and investable opportunities.
Chapter 8HideHide detailsSee detailsStrategic Climate Finance Portfolio Management
Strategic Climate Finance Portfolio Management
Lesson 1 • Net-Zero Portfolio Alignment
Applies net-zero frameworks to multi-asset portfolios and institutional mandates. Connects science-based targets to asset allocation and manager selection.
Lesson 2 • Climate Disclosure and Reporting Strategy
Covers mandatory and voluntary climate disclosure frameworks and reporting workflows. Enables organisations to produce credible, decision-useful climate reports.
Lesson 3 • Climate Governance and Fiduciary Duty
Examines board-level climate governance structures and fiduciary duty evolution. Equips practitioners to design governance frameworks that embed climate accountability.
Lesson 4 • Communicating Climate Finance Strategy
Develops skills for presenting climate finance strategy to boards, clients, and regulators. Links communication effectiveness to capital mobilisation outcomes.
Lesson 5 • Transition Finance and Just Transition
Addresses financing the transition of high-emission sectors and managing social impacts. Integrates equity and justice considerations into climate finance strategy.
Your valid completion certificate
This course is for you:
Investment analyst: wants to integrate climate factors into financial models.
Sustainability manager: needs to translate environmental goals into capital decisions.
Policy professional: seeks to understand how regulations drive private investment flows.
Portfolio manager: aims to future-proof holdings against physical and transition risks.
Development finance officer: works on mobilising capital for emerging market projects.
MBA graduate: looking to enter the growing climate finance job market confidently.
What our students say
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