ESG Risk in Investment Funds and Insurance : Regulatory Perspectives and Market Reaction
This book provides a comprehensive analysis of the regulatory framework governing sustainability in the non-banking financial sector, with particular emphasis on insurance companies and investment funds. It examines the implications of environmental, social, and governance (ESG) and climate-related...
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| Formato: | Libro |
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Routledge
2026
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| Acceso en línea: | Ver este registro en EBSCOhost |
| fields | @attributes: recordID: 1 pdfLink: plink: https://search.ebscohost.com/login.aspx?direct=true&db=nlebk&AN=4467745&site=ehost-live header: @attributes: shortDbName: nlebk uiTerm: 4467745 longDbName: eBook Collection (EBSCOhost) uiTag: AN controlInfo: bkinfo: btl: ESG Risk in Investment Funds and Insurance : Regulatory Perspectives and Market Reaction aug: au: Patrycja Chodnicka-Jaworska sertl: Banking, Money and International Finance isbn: 9781041341239 9781003791225 9781040971642 9781040971741 imageinfo: pubinfo: dt: @attributes: year: 2026 month: 01 day: 01 pub: Routledge pubContract: Taylor & Francis (Unlimited) place: Oxford price: 0.01 limitsGroup: maxCheckoutDays: 1500 copyPages: -1 pda: N printPagesOffline: 60 printPagesOnline: 60 previewPages: 10000 artinfo: ui: 4467745 1594241699 formats: fmt: – @attributes: type: EB doid: NL$4467745$PDF caption: PDF download: Y – @attributes: type: EK doid: NL$4467745$EPUB caption: EPUB download: Y tig: atl: ESG Risk in Investment Funds and Insurance : Regulatory Perspectives and Market Reaction ptl: ESG Risk in Investment Funds and Insurance aug: au: Patrycja Chodnicka-Jaworska sug: subj: BUSINESS & ECONOMICS / Economics / Macroeconomics BUSINESS & ECONOMICS / Banks & Banking BUSINESS & ECONOMICS / Corporate Finance / General BUSINESS & ECONOMICS / Development / Sustainable Development BUSINESS & ECONOMICS / Corporate Governance BUSINESS & ECONOMICS / Industries / Financial Services BUSINESS & ECONOMICS / Finance / Financial Risk Management ab: This book provides a comprehensive analysis of the regulatory framework governing sustainability in the non-banking financial sector, with particular emphasis on insurance companies and investment funds. It examines the implications of environmental, social, and governance (ESG) and climate-related regulations for ESG risk to management practices and market behavior within these institutions. While existing literature predominantly focuses on the banking sector, this book addresses a significant research gap by offering an in-depth examination of non-banking financial institutions.This book is structured into two parts. The first part outlines the general sustainability framework applicable to insurance companies and investment funds, focusing on key concepts, regulatory developments, and emerging trends in ESG risk regulation across the non-banking sector. It explores how insurance companies and investment funds design and implement ESG risk management strategies in major jurisdictions, including Europe, the United States, and other global markets. The second part assesses the impact of ESG regulatory frameworks and their ongoing evolution on market behavior, considering factors such as geographical location, industry characteristics, firm size, and the level of market development.By integrating an analysis of existing regulatory initiatives with practical insights into ESG risk management, this book offers both theoretical and applied perspectives. It is intended for academics and students in financial law, economics, and sustainable finance, as well as for policymakers, regulators, and practitioners seeking to understand, assess, and manage ESG risks in financial institutions. pubtype: eBook doctype: Book ougenre: Book language: English copyright: @attributes: flag: N copyrightText: holdings: @attributes: islocal: N |
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