000 02190nam a22002177a 4500
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020 _a9781032100975
082 _a332.6
_bSHE
100 _aSherwood, Matthew W
_919831
245 _aResponsible Investing:
_ban introduction to environmental, social, and governance investments
250 _a2nd
260 _bRoutledge
_aNew York
_c2023
300 _axxv, 215 p.
365 _aGBP
_b47.99
520 _aResponsible Investing serves as a holistic resource on Environmental, Social, and Governance (ESG) investing for undergraduate and graduate programs. It provides a thorough background and history of ESG investing, as well as cutting-edge industry developments, introducing the reader to the rapidly evolving field of responsible investing. Building on the first edition, this second edition provides updates where appropriate, as well as new emphasis on the development of standards in terminology and metrics. Opening with the background of ESG investing, the book discusses the development of ESG risks and provides an overview of ESG rating systems. It outlines the current position of ESG investing in portfolio management through granular analysis, offers insight into common investor concerns about ESG investments, presents qualitative theories, and reviews literature modeling ESG investment performance. Finally, the authors provide readers with a foundation on the development of financial models measuring risk and return, which can be used to evaluate the performance of ESG investments. This edition features updated statistics and a new chapter on regulation, reporting, and taxonomy in ESG investing, as well as new international case studies. Following a summary approach, Responsible Investing is a valuable textbook, providing a context in which upper-level students of ESG investment and sustainable finance can specialize. (https://www.taylorfrancis.com/books/mono/10.4324/9781003213666/responsible-investing-matthew-sherwood-julia-pollard)
650 _aInvestments--Social aspects
650 _aPortfolio management
700 _aPollard, Julia
_919832
942 _cBK
_2ddc
999 _c7524
_d7524