Description
• This textbook presents an excellent overview of responsible investing and an abundance of cases and historical development of responsible investing, which is an increasingly important area in asset management
• New chapter on “Regulation, Reporting, and Taxonomy in ESG Investing”
• Reorganised material on KPIs and risk modelling methods in ESG investing, to improve flow for readers
• Large collection of updated/new case studies, along with interactive sections designed to get students actively engaged
• A more comprehensive test bank and rubric for assessment for use by instructors at the end of every chapter
• PowerPoint slides for instructors
Book Information
ISBN 9781032101033
Author Matthew W. Sherwood
Format Hardback
Page Count 216
Imprint Taylor & Francis Ltd
Publisher Taylor & Francis Ltd
Weight(grams) 610g