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Purpose - This research explores the spillovers and portfolio implications for green bonds and environmental, social and governance (ESG) assets in the context of the rapidly expanding trend in green finance investments and the need for a green recovery in the post-COVID-19 era....
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We develop a rational, long-horizon model in which investments may damage future production/consumption possibilities through their impact on the climate. Within this framework, we show that the optimal investment consists of four funds: i) the risk-free asset; ii) a myopic portfolio; iii) a...
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Green debt markets are rapidly growing while product design and standards are evolving. Many policymakers and investors view green debt as an important component in the policy mix to achieve the transition to a low carbon economy and ensure the pricing of climate risks. Our analysis contributes...
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The purpose of the study is to investigate the interrelationship between corporate social responsibility (CSR) practices and green finance (GF) behavior and their collective impact on attaining sustainable tourism in Bangladesh. The study is based on a conceptual method. The relevant information...
Persistent link: https://www.econbiz.de/10015054129