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Research Handbook of Investing in the Triple Bottom Line
Finance, Society and the Environment
Edited by Sabri Boubaker, Douglas Cumming and Duc K. Nguyen
The triple bottom line is an accounting framework with social, environmental and financial factors. This Handbook examines the nexus between these areas by scrutinising aspects of socially responsible investment, finance and sustainable development, corporate socially responsible banking firms, the stock returns of sustainable firms, green bonds and sustainable financial instruments.
Handbook
- Published in print:
- 31 Aug 2018
- ISBN:
- 9781786439994
- eISBN:
- 9781788110006
- Pages:
- c 520
Show Summary Details
- Research Handbook of Investing in the Triple Bottom Line
- Copyright
- Contents
- About the editors
- Contributors
- Introduction
- chapter 1: Financial regulation and fraud in CO2 markets
- chapter 2: How to better detect cases of financial reporting fraud: some new findings from earnings restatements
- chapter 3: Fostering green investment decisions: the real option approach
- chapter 4: Exchange rate instability: relative volatility, risk and adjustment speed
- chapter 5: Financial instability: economic and financial perspectives
- chapter 6: The stability of the financial system: an analysis of the determinants of Russian bank failures
- chapter 7: Sovereign Wealth Funds and macroeconomic stability: before and after their establishment
- chapter 8: Financial markets like the potter’s hands? Rethinking finance for sustainability in a civil society perspective
- chapter 9: An alternative way to think of finance: the case of innovative, sustainable financial instruments
- chapter 10: The market premium of sustainability in health-care sector firms
- chapter 11: Environmental sustainability and inter- and intra-industry variation in stock returns: international evidence
- chapter 12: The role of financial markets in promoting sustainability – are view and research framework
- chapter 13: Financial innovation with a social purpose: the growth of Social Impact Bonds
- chapter 14: Asset allocation and the green bond market
- chapter 15: Demystifying green bonds
- chapter 16: Models of corporate socially responsible banks: financial cooperatives, Islamic banks, and microfinance institutions
- chapter 17: CSR implementation in French SMEs: an adapted framework
- chapter 18: The performance, volatility, downside risk and persistence of socially responsible investments in Korea and the impact of the Korean Green New Deal
- chapter 19: Are SRI funds conventional funds in disguise or do they live up to their name?
- chapter 20: Socio-psychological motives of socially responsible investors
- Index
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Introduction
Handbook Chapter
- Published:
- 31 August 2018
- Category:
- Handbook Chapter
- Pages:
- 1–6 (6 total)
Collection:
Business 2018
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- Research Handbook of Investing in the Triple Bottom Line
- Copyright
- Contents
- About the editors
- Contributors
- Introduction
- chapter 1: Financial regulation and fraud in CO2 markets
- chapter 2: How to better detect cases of financial reporting fraud: some new findings from earnings restatements
- chapter 3: Fostering green investment decisions: the real option approach
- chapter 4: Exchange rate instability: relative volatility, risk and adjustment speed
- chapter 5: Financial instability: economic and financial perspectives
- chapter 6: The stability of the financial system: an analysis of the determinants of Russian bank failures
- chapter 7: Sovereign Wealth Funds and macroeconomic stability: before and after their establishment
- chapter 8: Financial markets like the potter’s hands? Rethinking finance for sustainability in a civil society perspective
- chapter 9: An alternative way to think of finance: the case of innovative, sustainable financial instruments
- chapter 10: The market premium of sustainability in health-care sector firms
- chapter 11: Environmental sustainability and inter- and intra-industry variation in stock returns: international evidence
- chapter 12: The role of financial markets in promoting sustainability – are view and research framework
- chapter 13: Financial innovation with a social purpose: the growth of Social Impact Bonds
- chapter 14: Asset allocation and the green bond market
- chapter 15: Demystifying green bonds
- chapter 16: Models of corporate socially responsible banks: financial cooperatives, Islamic banks, and microfinance institutions
- chapter 17: CSR implementation in French SMEs: an adapted framework
- chapter 18: The performance, volatility, downside risk and persistence of socially responsible investments in Korea and the impact of the Korean Green New Deal
- chapter 19: Are SRI funds conventional funds in disguise or do they live up to their name?
- chapter 20: Socio-psychological motives of socially responsible investors
- Index