Banking, Money and International Finance
Strategy, Regulation, and Market Reaction
Banking, Money and International Finance
Strategy, Regulation, and Market Reaction
This book provides a comprehensive overview of the definitions, trends, and regulatory approaches to ESG risk in the banking sector. It examines how banks develop strategies for managing ESG risks, and how stock, bond, and credit markets respond to such risks, including the implications of regulatory changes.
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This book provides a comprehensive overview of the definitions, trends, and regulatory approaches to ESG risk in the banking sector. It examines how banks develop strategies for managing ESG risks, and how stock, bond, and credit markets respond to such risks, including the implications of regulatory changes.