Boekhandel Douwes Den Haag

Banking, Money and International Finance

ESG Risk Management in Banking

Strategy, Regulation, and Market Reaction

Annalisa Ferrari & Patrycja Chodnicka-Jaworska

ESG Risk Management in Banking

Banking, Money and International Finance

ESG Risk Management in Banking

Strategy, Regulation, and Market Reaction

Banking, Money and International Finance: ESG Risk Management in Banking

Verschijnt binnenkort

 

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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Beschrijving Banking, Money and International Finance: ESG Risk Management in Banking

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.


ISBN
9781041353294
Pagina's
228
Verschijnt
Serie
Banking, Money and International Finance
Rubriek
Economie en bedrijf
Druk
1
Uitvoering
Hardback
Taal
Engels
Uitgever
Taylor & Francis Ltd

Economie en bedrijf