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Environmental, social, and governance criteria : why investors are paying attention

Author: Ravi Jagannathan; Ashwin Ravikumar; Marco Sammon; National Bureau of Economic Research,
Publisher: Cambridge, Mass. : National Bureau of Economic Research, 2017.
Series: Working paper series (National Bureau of Economic Research), no. 24063.
Edition/Format:   eBook : Document : EnglishView all editions and formats
Summary:
We find that money managers could reduce portfolio risk by incorporating Environmental, Social, and Governance (ESG) criteria into their investment process. ESG-related issues can cause sudden regulatory changes and shifts in consumer tastes, resulting in large asset price swings which leave investors limited time to react. By incorporating ESG criteria in their investment strategy, money managers can tilt their  Read more...
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Material Type: Document, Internet resource
Document Type: Internet Resource, Computer File
All Authors / Contributors: Ravi Jagannathan; Ashwin Ravikumar; Marco Sammon; National Bureau of Economic Research,
OCLC Number: 1014027115
Notes: "November 2017."
Description: 1 online resource (27 pages) : illustrations
Series Title: Working paper series (National Bureau of Economic Research), no. 24063.
Responsibility: Ravi Jagannathan, Ashwin Ravikumar, Marco Sammon.

Abstract:

We find that money managers could reduce portfolio risk by incorporating Environmental, Social, and Governance (ESG) criteria into their investment process. ESG-related issues can cause sudden regulatory changes and shifts in consumer tastes, resulting in large asset price swings which leave investors limited time to react. By incorporating ESG criteria in their investment strategy, money managers can tilt their holdings towards firms which are well prepared to deal with these changes, thereby managing exposure to these rare but potentially large risks.

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