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Beskrivning
Here is the first examination of Socially Responsible Investing (SRI) since the fall of the recent financial bubble. It asks, Is this an opportunity to enhance SRI because of its strength and superiority, or will it vanish in the next wave of financial myopia?
Foreword; Alejo José G. Sison.- List of tables.- List of figures.- About the editors.- About the authors.- Introduction; Wim Vandekerckhove, Jos Leys, Kristian Alm, Bert Scholtens, Silvana Signori and Henry Schäfer.- Chapter 1. Global finance and the role of responsible investors; Steve Waddell.- Chapter 2. New values in responsible investment; Neil Eccles.- Chapter 3. The legitimacy of ESG standards as an analytical framework for responsible investment; Tim Cadman.- Chapter 4. Reputational penalties in financial markets: an ethical mechanism?; Peter-Jan Engelen and Marc van Essen.- Chapter 5. The financial performance of RI funds after 2000; Olaf Weber, Marco Mansfeld and Eric Schirrmann.- Chapter 6. Responsible investment by pension funds after the financial crisis; Riikka Sievänen.- Chapter 7. Private equity as an emerging asset class of responsible investment; Barbara Del Bosco and Nicola Misani.- Chapter 8. Responsible investment and exclusion criteria: a case study from a Catholic Private Bank; Michael S. Aßländer and Markus Schenkel.- Chapter 9. Islamic Banking and responsible investment: is a fusion possible?; Reza Zain Jaufeerally.- Chapter 10. What are your investments doing rightnow?; Joakim Sandberg.- Chapter 11. Sustainability and social justice; Johan A. Klaassen.- Chapter 12.Reality and Potential of responsible investment; Carlos Joly.- Chapter 13. Why responsible investing?; Henrik Syse.- Post scripta – an Owl’s view; Jos Leys, Bert Scholtens, Henry Schäfer, Wim Vandekerckhove, Kristian Alm and Silvana Signori.- Index.