In the dynamic landscape of contemporary finance, the emergence and growth of ESG investing signifies a paradigm shift, redefining the foundational tenets of portfolio analysis and management. This book provides a comprehensive examination of ESG investing, tracing its evolution and current significance in financial markets.
In the dynamic landscape of contemporary finance, the emergence and growth of Environmental, Social, and Governance (ESG) investing signifies a paradigm shift, redefining the foundational tenets of portfolio analysis and management. This book provides a comprehensive examination of ESG investing, tracing its evolution and current significance in financial markets.
It focuses on how ESG principles are integrated into investment strategies and the impact on portfolio performance and market behaviour. It delves into the terminology surrounding ESG investing and elucidates how ESG principles have gained traction, especially with the rise of the Sustainable Development Goals (SDGs). Further, it analyzes the increasing integration of ESG considerations in capital markets and the resultant shifts in trading and investing behaviors among market participants. It also examines how investors are increasingly aligning their investments with their personal beliefs and values, thus influencing the economy and stakeholders of the companies they invest in. The book unpacks the performance aspects of ESG investing and advances the theory of sustainable finance by offering techniques and frameworks that enable investors to incorporate ESG into their investment procurement decisions. ESG factors are outlined in the book detailing how they can be integrated systematically in investment analysis and portfolio management. The book discusses the emerging themes in ESG, particularly, topics such as the impact of technological change and the rise of green finance instruments. It explores current and emerging regulations related to ESG disclosures and the role of regulators in fostering a sustainable financial ecosystem. It blends theoretical concepts with practical applications, thus increasing readers’ appreciation of contemporary investment dynamics and the importance of the sustainable development goals.
1. Sustainable Finance and Risk Management: How ESG Investing Reduces
Long-Term Financial Risks
2. Approaches to ESG investing, Current issues and
their Potential Solutions
3. Aligning Finance with Sustainability:
Integrating Environmental, Social, and Governance (ESG) Criteria into
Traditional Finance
4. New Horizons for Socially Responsible Investing in
India: A Path Towards Sustainable Future A.
5. Analyzing the Nexus Between
Corporate Governance, Green Finance, and the Competition Laws
6. A
Performance Analysis of Selected ESG Funds in India
7. Aligning ESG
Investments with Sustainable Development Goals: An ISM and MICMACBased
Approach
8. Evolution of ESG investing and its inclusion in behavioral
finance
9. Financial Contingency Planning and Sustainability Risk Management:
Building Resilient Organizations
10. Understanding Robo-advisor Adoption for
Sustainable Financing in the Digital Age
11. Sustainable Finance and ESG
Governance: Transition Strategies for Low-Carbon Economies
Kirti Sood is an accomplished academic and researcher in the field of management and finance known for her strong scholarly contributions and commitment to academic excellence.
Vikas Sharma specializes in accounting, finance, and organizational studies and currently serves as a Professor of Finance at Chandigarh University, Mohali, India. He is also affiliated with the Department of Statistics, Finances and Controlling, Széchenyi István University, Gyr, Hungary.
Andreia de Bem Machado is a researcher at the Innovation Intelligence, Management and Technology Research Center-IGTI at the Federal University of Santa Catarina and is an adjunct professor and research coordinator at Faculdade Anasps Brasília-Brazil.