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Climate investing : new strategies and implementation challenges / / Emmanuel Jurczenko, editor
Climate investing : new strategies and implementation challenges / / Emmanuel Jurczenko, editor
Pubbl/distr/stampa Hoboken, NJ : , : John Wiley & Sons, Inc., , [2023]
Descrizione fisica 1 online resource (396 pages)
Disciplina 332.6
Collana Innovation, entrepreneurship and management series
Soggetto topico Investments - Environmental aspects
Environmental economics
ISBN 1-394-19237-1
1-394-19235-5
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover -- Title Page -- Copyright Page -- Contents -- Foreword -- Chapter 1. The Financial Materiality of Climate Change: Evidence from a Global Survey -- 1.1. Introduction -- 1.2. Survey design and demographic data -- 1.2.1. Survey design -- 1.2.2. Demographic data -- 1.3. Survey results -- 1.3.1. Importance of climate change for investment decisions -- 1.3.2. Financial materiality of climate risk -- 1.3.3. Challenges for the disclosure and use of climate change information -- 1.4. Summary and conclusion -- 1.5. References -- Chapter 2. Looking Forward with Historical Carbon Data -- 2.1. Introduction -- 2.2. Data -- 2.3. How stale is historical carbon data? -- 2.4. Are historically brown firms getting greener? Might green firms become browner? -- 2.5. Nowcasting financed emissions using historical data -- 2.6. Conclusion -- 2.7. Appendix -- 2.7.1. Measures of portfolio greenhouse gas emissions -- 2.8. References -- Chapter 3. Portfolio Construction with Climate Risk Measures -- 3.1. Introduction -- 3.2. Climate risk measures -- 3.2.1. Carbon footprint -- 3.2.2. Carbon transition pathway -- 3.2.3. Other metrics -- 3.3. Portfolio optimization -- 3.3.1. General framework -- 3.3.2. Portfolio decarbonization -- 3.3.3. Portfolio alignment -- 3.4. Conclusion -- 3.5. Appendices -- 3.5.1. Appendix 1: Scope 3 emissions -- 3.5.2. Appendix 2: Data -- 3.6. References -- Chapter 4. Hedging Climate Risks: A Cross-asset Approach -- 4.1. Introduction -- 4.2. Factor-mimicking portfolios methodology -- 4.2.1. General FMP approach -- 4.2.2. Errors-in-variable estimates -- 4.3. Hedging climate risk factors -- 4.3.1. Setup -- 4.3.2. Climate textual risk factors data -- 4.3.3. Base assets data -- 4.3.4. In-sample hedging results -- 4.3.5. Out-of-sample hedging results -- 4.4. Conclusion -- 4.5. Appendices -- 4.5.1. Appendix 1: General FMP portfolio optimization program.
4.5.2. Appendix 2: Principal components instrumental variables FMP estimator -- 4.6. References -- Chapter 5. A Framework for Achieving Net-Zero-Carbon Alpha Portfolios -- 5.1. Introduction -- 5.2. Carbon emission in the capital market -- 5.3. Passive approach to zero-carbon portfolios -- 5.4. Active approach to zero-carbon portfolios -- 5.4.1. Backward-looking data: carbon efficiency -- 5.4.2. Present-time data: "nowcasting" of environmental news -- 5.4.3. Forward-looking data: corporate climate alignment and adaptation plans -- 5.4.4. Case study: sustainable global equity strategy from PanAgora Asset Management -- 5.5. Carbon offsets -- 5.6. Conclusion -- 5.7. Appendix -- 5.8. References -- Chapter 6. Active Paris-aligned Equity Investing -- 6.1. Introduction -- 6.2. Standards of Paris-aligned benchmarks -- 6.3. Climate-aware alpha drivers -- 6.3.1. Carbon resource efficiency -- 6.3.2. Green patents -- 6.3.3. Corporate target setting -- 6.4. Empirical results -- 6.4.1. Decarbonization pathway -- 6.4.2. Climate-aware alpha -- 6.4.3. Incorporating climate-aware alphas and decarbonization -- 6.4.4. Systematic active Paris-aligned strategies -- 6.5. Conclusion -- 6.6. Appendix: Paris-aligned equity strategy screens -- 6.7. References -- Chapter 7. Green Alpha -- 7.1. Introduction -- 7.2. Research methodology -- 7.2.1. Region classification -- 7.2.2. ESG-specific industry classification -- 7.2.3. Common style factors -- 7.2.4. Backtesting methodology -- 7.3. MSCI ESG rating -- 7.3.1. MSCI ESG data -- 7.3.2. Data coverage and average rating -- 7.3.3. An overview of MSCI ESG rating methodology -- 7.3.4. ESG pillars, themes and key issues -- 7.4. Characteristics of ESG - a factor perspective -- 7.4.1. The basics -- 7.4.2. Difference across sectors -- 7.4.3. Factor exposure -- 7.5. ESG as stock-selection factors.
7.5.1. Aggregated ESG rating and the three pillars -- 7.5.2. Revenue, country and industry adjustment -- 7.5.3. Other adjustment -- 7.5.4. ESG momentum -- 7.5.5. Performance of aggregate ESG and three pillar scores -- 7.6. Environmental factors -- 7.6.1. Zooming into clean technology -- 7.6.2. Carbon emissions along the supply chain -- 7.7. ESG signals are additive to traditional stock-selection factors -- 7.7.1. Performance comparison with traditional stock-selection factors -- 7.7.2. Correlation with traditional factors -- 7.7.3. The diversification benefit offered by ESG factors -- 7.8. Conclusion -- 7.9. References -- Chapter 8. Enhancing Environment-driven Portfolios with Traditional Factors -- 8.1. Introduction -- 8.2. Framework -- 8.2.1. ESG overlays: the classic overlay -- 8.2.2. The factor embedding - the factor overlay -- 8.3. Empirical tests -- 8.3.1. Data and protocol -- 8.3.2. Baseline results -- 8.3.3. Statistical significance -- 8.3.4. Sector exposure -- 8.3.5. Transfer coefficients -- 8.4. Robustness checks -- 8.4.1. The sample size -- 8.4.2. A more passive benchmark -- 8.5. Conclusion -- 8.6. Appendix: Distribution of variables -- 8.7. References -- Chapter 9. Enhancing the Accuracy of Firm Valuation with Multiples Using Carbon Emissions -- 9.1. Data -- 9.1.1. Carbon data -- 9.1.2. Financial data -- 9.2. Multiple construction methodology -- 9.2.1. Identifying and composing suitable peer group -- 9.2.2. Constructing and aggregating multiples -- 9.2.3. Determining firm valuation errors -- 9.3. Constructing new multiples using carbon data -- 9.4. Constructing peer groups using carbon data -- 9.5. Combining carbon emission multiples and carbon emission enhanced peer groups -- 9.6. Robustness -- 9.7. Recommendation for using carbon emissions for multiples and further research -- 9.8. References.
Chapter 10. Risk Management Challenges in Sustainability Themed Portfolios: An Application to GHG-constrained Portfolios -- 10.1. Introduction -- 10.2. Methodology -- 10.3. Data description -- 10.4. Results -- 10.5. Conclusion and implications -- 10.6. References -- Chapter 11. Absolutely Sustainable Investing Across Asset Classes with Paris-aligned Benchmarks: An Application to AP2 -- 11.1. Introduction -- 11.2. The climate benchmarks -- 11.2.1. Minimum benchmark requirements -- 11.2.2. Benchmark decarbonization and inflation adjustment -- 11.3. Absolutely sustainable investing -- 11.4. Case study: implementation of PAB at Andra AP-fonden -- 11.4.1. The Swedish pension system and the AP-funds -- 11.4.2. Development of sustainability integration and benchmarks at AP2 -- 11.4.3. Implementing the EU Paris-aligned Benchmark at AP2 -- 11.4.4. Specific aspects -- 11.4.5. Discussion -- 11.5. Conclusion -- 11.6. References -- Chapter 12. Delegated Philanthropy in Mutual Fund Votes on Climate Change Externalities -- 12.1. Introduction -- 12.2. Sample, data sources, variables and descriptive statistics -- 12.2.1. Mutual fund votes -- 12.2.2. Mutual fund characteristics -- 12.2.3. Mutual fund holdings -- 12.2.4. Descriptive statistics -- 12.3. Empirical analysis -- 12.3.1. Impact of the percentage of SRI on the support for climate resolutions -- 12.3.2. Resolutions on other corporate externalities -- 12.3.3. Drivers of support for climate change resolutions -- 12.3.4. Robustness -- 12.4. Conclusion -- 12.5. Appendix: Classification of shareholder resolutions -- 12.6. References -- Chapter 13. Creditworthiness and Buildings' Energy Efficiency in the Mortgage Market -- 13.1. Introduction -- 13.2. Portfolio analysis -- 13.2.1. Energy efficiency -- 13.2.2. Descriptive statistics -- 13.3. Methodology -- 13.3.1. Logit regression.
13.3.2. Cox proportional hazards model -- 13.4. Results -- 13.4.1. Estimates from the logit regression -- 13.4.2. Estimates from the Cox regression -- 13.4.3. Additional findings -- 13.5. Conclusion -- 13.6. Appendix -- 13.7. References -- Chapter 14. The Thesis for Green Investing and Other ESG through the Looking Glass of China and the US -- 14.1. Introduction -- 14.2. Who and what does Green investing impact? -- 14.3. Who should set the Green investing agenda? -- 14.3.1. Should Green Initiatives be determined by elected civil servants or by rating services, investment funds and corporate CEOs? -- 14.3.2. The Milton Friedman take on who should drive ESG -- 14.3.3. American ESG in conflict with American democracy? -- 14.3.4. Who drives environmental protection policy and other ESG issues in China? -- 14.3.5. Good intentions but bad skills? -- 14.4. Earning a Green alpha?! -- 14.5. Market efficiency and ESG -- 14.6. Conclusion -- 14.7. References -- List of Authors -- Index -- EULA.
Record Nr. UNINA-9910677700103321
Hoboken, NJ : , : John Wiley & Sons, Inc., , [2023]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
An efficient way to grow jobs : energy upgrades that save families and businesses money, reduce pollution, and create good jobs : field hearing before the Subcommittee on Green Jobs and the New Economy of the Committee on Environment and Public Works, United States Senate, One Hundred Thirteenth Congress, first session, September 4, 2013, Portland, OR
An efficient way to grow jobs : energy upgrades that save families and businesses money, reduce pollution, and create good jobs : field hearing before the Subcommittee on Green Jobs and the New Economy of the Committee on Environment and Public Works, United States Senate, One Hundred Thirteenth Congress, first session, September 4, 2013, Portland, OR
Pubbl/distr/stampa Washington : , : U.S. Government Publishing Office, , 2015
Descrizione fisica 1 online resource (iii, 68 pages) : illustrations
Collana S. hrg.
Soggetto topico Energy consumption - Economic aspects - United States
Energy conservation - Economic aspects - United States
Investments - Environmental aspects - United States
Sustainable development - United States
Clean energy investment - United States
Economic development - Environmental aspects - United States
Environmental economics - United States
Job creation - United States
Clean energy investment
Economic development - Environmental aspects
Energy conservation - Economic aspects
Energy consumption - Economic aspects
Environmental economics
Investments - Environmental aspects
Job creation
Sustainable development
Soggetto genere / forma Legislative hearings.
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Altri titoli varianti Efficient way to grow jobs
Record Nr. UNINA-9910704050003321
Washington : , : U.S. Government Publishing Office, , 2015
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Evolutions in sustainable investment [[electronic resource] ] : strategies, funds and thought leadership / / Cary Krosinsky, editor ; with Nick Robins & Stephen Viederman
Evolutions in sustainable investment [[electronic resource] ] : strategies, funds and thought leadership / / Cary Krosinsky, editor ; with Nick Robins & Stephen Viederman
Pubbl/distr/stampa Hoboken, N.J., : Wiley, c2012
Descrizione fisica 1 online resource (512 p.)
Disciplina 332.6
Altri autori (Persone) KrosinskyCary
RobinsNick
ViedermanStephen
Collana Wiley finance series
Soggetto topico Investment analysis
Investments - Environmental aspects
Investments - Social aspects
Social responsibility of business
Soggetto genere / forma Electronic books.
ISBN 1-118-15792-3
1-280-76130-X
9786613678027
1-118-15790-7
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Evolutions inSustainableInvesting; Contents; Acknowledgments; About the Editor; About the Contributors; Introduction; CHAPTER 1 The Sustainability Imperative; Sustainability: A Business Megatrend; Getting the Vision Right; Getting the Execution Right; Building a Sustainability Performance System; Summary; Note; CHAPTER 2 Jupiter Ecology; Roots of the Fund; Jupiter Ecology's Investment Process; Good Governance; Building a Following; Building on Firm Foundations; Assessing Companies for the Long Term; Voting and Engagement: Participating in the Process of Change; Finding Great Green Companies
Fund PerformanceNotes; CHAPTER 3 A Predictor of Performance; Investment in Natural Capitalism; Discovering Opportunities; Identifying the Companies of the Future; Summary; CHAPTER 4 Highwater Global; Hawken Takes on Domini; Fund Drivers Based on Global Sustainable Themes; Finding Investment Opportunities; Sustainable Investing Is Responsible Investing; Summary; Notes; CHAPTER 5 Further Context; Starting Point for Measuring Sustainability; Sustainability 2.0's Five Factors; Summary; Notes; CHAPTER 6 Sustainable Asset Management; SAM's Origins and Evolution
Building a Sustainable Investing Practice: Basic Business SegmentsMeasuring Intangibles: Sustainability Research Methodology; Sustainability Lens: Active Portfolio Management; SAM and Performance; SAM's Extended Family: Dow Jones Sustainability Indexes; Sustainability Advocacy and Company Engagement; Summary; Notes; CHAPTER 7 Domini and BP; Domini Social Investments; Safety, Environmental, and Ethical Concerns; Domini Investment Philosophy; Business Model Analysis: Key Performance Indicator Alignment Model; Integrating Business Model Alignment and Stakeholder Relationship Strength; Notes
CHAPTER 8 The Story of CalvertUnconventional History; Calvert's People; Calvert's Methodologies: Signature, Solution, and SAGE; Calvert's Performance; Summary; Notes; CHAPTER 9 Winslow; Blazing a Trail; Investment Process; Performance Considerations; Summary; Notes; CHAPTER 10 Portfolio 21; Portfolio 21: A History; Theory of Sustainability and Change; In Search of Forward-Looking Companies; Results; Summary; Notes; CHAPTER 11 Northwest and Ethical Investments; Humble Beginnings; New Direction; Evolving Investment Approach; Corporate Engagement Program; Key Products and Performance over Time
Looking Forward: NEI's Merger with Northwest FundsNote; CHAPTER 12 Looking for a Green Century: Passive-Indexed versus Active Portfolio Management; Background; Green Century Funds; Green Century Equity Fund; Trillium Asset Management and the Balanced Fund; Trillium Asset Management Corporation; Carbon Footprint of the Balanced Fund; Seeking Safer Packaging: The Bisphenol-A Report; Shareholder Advocacy; Summary; Notes; CHAPTER 13 Pictet Water; Evolution of Investment Strategy over Time: Original versus Current Mission; Founders and Key Decision Makers; Methodology
Metrics: What Is Important and Why
Record Nr. UNINA-9910457811003321
Hoboken, N.J., : Wiley, c2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Evolutions in sustainable investment [[electronic resource] ] : strategies, funds and thought leadership / / Cary Krosinsky, editor ; with Nick Robins & Stephen Viederman
Evolutions in sustainable investment [[electronic resource] ] : strategies, funds and thought leadership / / Cary Krosinsky, editor ; with Nick Robins & Stephen Viederman
Pubbl/distr/stampa Hoboken, N.J., : Wiley, c2012
Descrizione fisica 1 online resource (512 p.)
Disciplina 332.6
Altri autori (Persone) KrosinskyCary
RobinsNick
ViedermanStephen
Collana Wiley finance series
Soggetto topico Investment analysis
Investments - Environmental aspects
Investments - Social aspects
Social responsibility of business
ISBN 1-118-15792-3
1-280-76130-X
9786613678027
1-118-15790-7
Classificazione BUS072000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Evolutions inSustainableInvesting; Contents; Acknowledgments; About the Editor; About the Contributors; Introduction; CHAPTER 1 The Sustainability Imperative; Sustainability: A Business Megatrend; Getting the Vision Right; Getting the Execution Right; Building a Sustainability Performance System; Summary; Note; CHAPTER 2 Jupiter Ecology; Roots of the Fund; Jupiter Ecology's Investment Process; Good Governance; Building a Following; Building on Firm Foundations; Assessing Companies for the Long Term; Voting and Engagement: Participating in the Process of Change; Finding Great Green Companies
Fund PerformanceNotes; CHAPTER 3 A Predictor of Performance; Investment in Natural Capitalism; Discovering Opportunities; Identifying the Companies of the Future; Summary; CHAPTER 4 Highwater Global; Hawken Takes on Domini; Fund Drivers Based on Global Sustainable Themes; Finding Investment Opportunities; Sustainable Investing Is Responsible Investing; Summary; Notes; CHAPTER 5 Further Context; Starting Point for Measuring Sustainability; Sustainability 2.0's Five Factors; Summary; Notes; CHAPTER 6 Sustainable Asset Management; SAM's Origins and Evolution
Building a Sustainable Investing Practice: Basic Business SegmentsMeasuring Intangibles: Sustainability Research Methodology; Sustainability Lens: Active Portfolio Management; SAM and Performance; SAM's Extended Family: Dow Jones Sustainability Indexes; Sustainability Advocacy and Company Engagement; Summary; Notes; CHAPTER 7 Domini and BP; Domini Social Investments; Safety, Environmental, and Ethical Concerns; Domini Investment Philosophy; Business Model Analysis: Key Performance Indicator Alignment Model; Integrating Business Model Alignment and Stakeholder Relationship Strength; Notes
CHAPTER 8 The Story of CalvertUnconventional History; Calvert's People; Calvert's Methodologies: Signature, Solution, and SAGE; Calvert's Performance; Summary; Notes; CHAPTER 9 Winslow; Blazing a Trail; Investment Process; Performance Considerations; Summary; Notes; CHAPTER 10 Portfolio 21; Portfolio 21: A History; Theory of Sustainability and Change; In Search of Forward-Looking Companies; Results; Summary; Notes; CHAPTER 11 Northwest and Ethical Investments; Humble Beginnings; New Direction; Evolving Investment Approach; Corporate Engagement Program; Key Products and Performance over Time
Looking Forward: NEI's Merger with Northwest FundsNote; CHAPTER 12 Looking for a Green Century: Passive-Indexed versus Active Portfolio Management; Background; Green Century Funds; Green Century Equity Fund; Trillium Asset Management and the Balanced Fund; Trillium Asset Management Corporation; Carbon Footprint of the Balanced Fund; Seeking Safer Packaging: The Bisphenol-A Report; Shareholder Advocacy; Summary; Notes; CHAPTER 13 Pictet Water; Evolution of Investment Strategy over Time: Original versus Current Mission; Founders and Key Decision Makers; Methodology
Metrics: What Is Important and Why
Record Nr. UNINA-9910781873003321
Hoboken, N.J., : Wiley, c2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Evolutions in sustainable investment [[electronic resource] ] : strategies, funds and thought leadership / / Cary Krosinsky, editor ; with Nick Robins & Stephen Viederman
Evolutions in sustainable investment [[electronic resource] ] : strategies, funds and thought leadership / / Cary Krosinsky, editor ; with Nick Robins & Stephen Viederman
Pubbl/distr/stampa Hoboken, N.J., : Wiley, c2012
Descrizione fisica 1 online resource (512 p.)
Disciplina 332.6
Altri autori (Persone) KrosinskyCary
RobinsNick
ViedermanStephen
Collana Wiley finance series
Soggetto topico Investment analysis
Investments - Environmental aspects
Investments - Social aspects
Social responsibility of business
ISBN 1-118-15792-3
1-280-76130-X
9786613678027
1-118-15790-7
Classificazione BUS072000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Evolutions inSustainableInvesting; Contents; Acknowledgments; About the Editor; About the Contributors; Introduction; CHAPTER 1 The Sustainability Imperative; Sustainability: A Business Megatrend; Getting the Vision Right; Getting the Execution Right; Building a Sustainability Performance System; Summary; Note; CHAPTER 2 Jupiter Ecology; Roots of the Fund; Jupiter Ecology's Investment Process; Good Governance; Building a Following; Building on Firm Foundations; Assessing Companies for the Long Term; Voting and Engagement: Participating in the Process of Change; Finding Great Green Companies
Fund PerformanceNotes; CHAPTER 3 A Predictor of Performance; Investment in Natural Capitalism; Discovering Opportunities; Identifying the Companies of the Future; Summary; CHAPTER 4 Highwater Global; Hawken Takes on Domini; Fund Drivers Based on Global Sustainable Themes; Finding Investment Opportunities; Sustainable Investing Is Responsible Investing; Summary; Notes; CHAPTER 5 Further Context; Starting Point for Measuring Sustainability; Sustainability 2.0's Five Factors; Summary; Notes; CHAPTER 6 Sustainable Asset Management; SAM's Origins and Evolution
Building a Sustainable Investing Practice: Basic Business SegmentsMeasuring Intangibles: Sustainability Research Methodology; Sustainability Lens: Active Portfolio Management; SAM and Performance; SAM's Extended Family: Dow Jones Sustainability Indexes; Sustainability Advocacy and Company Engagement; Summary; Notes; CHAPTER 7 Domini and BP; Domini Social Investments; Safety, Environmental, and Ethical Concerns; Domini Investment Philosophy; Business Model Analysis: Key Performance Indicator Alignment Model; Integrating Business Model Alignment and Stakeholder Relationship Strength; Notes
CHAPTER 8 The Story of CalvertUnconventional History; Calvert's People; Calvert's Methodologies: Signature, Solution, and SAGE; Calvert's Performance; Summary; Notes; CHAPTER 9 Winslow; Blazing a Trail; Investment Process; Performance Considerations; Summary; Notes; CHAPTER 10 Portfolio 21; Portfolio 21: A History; Theory of Sustainability and Change; In Search of Forward-Looking Companies; Results; Summary; Notes; CHAPTER 11 Northwest and Ethical Investments; Humble Beginnings; New Direction; Evolving Investment Approach; Corporate Engagement Program; Key Products and Performance over Time
Looking Forward: NEI's Merger with Northwest FundsNote; CHAPTER 12 Looking for a Green Century: Passive-Indexed versus Active Portfolio Management; Background; Green Century Funds; Green Century Equity Fund; Trillium Asset Management and the Balanced Fund; Trillium Asset Management Corporation; Carbon Footprint of the Balanced Fund; Seeking Safer Packaging: The Bisphenol-A Report; Shareholder Advocacy; Summary; Notes; CHAPTER 13 Pictet Water; Evolution of Investment Strategy over Time: Original versus Current Mission; Founders and Key Decision Makers; Methodology
Metrics: What Is Important and Why
Record Nr. UNINA-9910808145503321
Hoboken, N.J., : Wiley, c2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Finance and investment for sustainability / / editor, Ray C. Anderson ; (series editor), Chris Laszlo [and four others]
Finance and investment for sustainability / / editor, Ray C. Anderson ; (series editor), Chris Laszlo [and four others]
Pubbl/distr/stampa Great Barrington, Massachusetts : , : Berkshire, , [2016]
Descrizione fisica 1 online resource (viii, 150 pages) : illustrations
Disciplina 338.9
Collana Berkshire essentials
Soggetto topico Finance - Environmental aspects
Finance - Social aspects
Investments - Environmental aspects
Investments - Social aspects
Sustainable development
Soggetto genere / forma Electronic books.
ISBN 1-61472-953-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Record Nr. UNINA-9910466970903321
Great Barrington, Massachusetts : , : Berkshire, , [2016]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Finance and investment for sustainability / / editor, Ray C. Anderson ; (series editor), Chris Laszlo [and four others]
Finance and investment for sustainability / / editor, Ray C. Anderson ; (series editor), Chris Laszlo [and four others]
Pubbl/distr/stampa Great Barrington, Massachusetts : , : Berkshire, , [2016]
Descrizione fisica 1 online resource (viii, 150 pages) : illustrations
Disciplina 338.9
Collana Berkshire essentials
Soggetto topico Finance - Environmental aspects
Finance - Social aspects
Investments - Environmental aspects
Investments - Social aspects
Sustainable development
ISBN 1-61472-953-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Record Nr. UNINA-9910794084903321
Great Barrington, Massachusetts : , : Berkshire, , [2016]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Finance and investment for sustainability / / editor, Ray C. Anderson ; (series editor), Chris Laszlo [and four others]
Finance and investment for sustainability / / editor, Ray C. Anderson ; (series editor), Chris Laszlo [and four others]
Pubbl/distr/stampa Great Barrington, Massachusetts : , : Berkshire, , [2016]
Descrizione fisica 1 online resource (viii, 150 pages) : illustrations
Disciplina 338.9
Collana Berkshire essentials
Soggetto topico Finance - Environmental aspects
Finance - Social aspects
Investments - Environmental aspects
Investments - Social aspects
Sustainable development
ISBN 1-61472-953-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Record Nr. UNINA-9910821546703321
Great Barrington, Massachusetts : , : Berkshire, , [2016]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Global handbook of impact investing : solving global problems via smarter capital markets towards a more sustainable society / / edited by Elsa De Morais Sarmento, R. Paul Herman
Global handbook of impact investing : solving global problems via smarter capital markets towards a more sustainable society / / edited by Elsa De Morais Sarmento, R. Paul Herman
Pubbl/distr/stampa Hoboken, New Jersey : , : John Wiley & Sons, Incorporated, , [2021]
Descrizione fisica 1 online resource (1,327 pages) : illustrations
Disciplina 332.6
Soggetto topico Investments - Moral and ethical aspects
Social responsibility of business
Investments - Environmental aspects
ISBN 1-119-69113-3
1-119-69108-7
Classificazione 338.18
332.6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Record Nr. UNINA-9910794215803321
Hoboken, New Jersey : , : John Wiley & Sons, Incorporated, , [2021]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Global handbook of impact investing : solving global problems via smarter capital markets towards a more sustainable society / / edited by Elsa De Morais Sarmento, R. Paul Herman
Global handbook of impact investing : solving global problems via smarter capital markets towards a more sustainable society / / edited by Elsa De Morais Sarmento, R. Paul Herman
Pubbl/distr/stampa Hoboken, New Jersey : , : John Wiley & Sons, Incorporated, , [2021]
Descrizione fisica 1 online resource (1,327 pages) : illustrations
Disciplina 332.6
Soggetto topico Investments - Moral and ethical aspects
Social responsibility of business
Investments - Environmental aspects
ISBN 1-119-69113-3
1-119-69108-7
Classificazione 338.18
332.6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Record Nr. UNINA-9910827200603321
Hoboken, New Jersey : , : John Wiley & Sons, Incorporated, , [2021]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui