Sustainable investing and ESG integration: an analysis of market performance and corporate impact

Magri, Lorenzo (A.A. 2022/2023) Sustainable investing and ESG integration: an analysis of market performance and corporate impact. Tesi di Laurea in Financial reporting and performance measurement, Luiss Guido Carli, relatore Riccardo Tiscini, pp. 83. [Master's Degree Thesis]

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Abstract/Index

Theoretical background. The ESG index. The origins of ESG index. ESG and its footprint, why we need him now. The main theories of ESG index. ESG investment overtime. ESG investment in the last years. ESG and euro-zone. Europe corporate sustainability reporting directive. The resource allocation theory. The Ohlson model. ESG, markets and performance. Methodologies. Theoretical background and development of hypothesis. Linear regression. ESG and financial index database. Sample selection. Varibles choice. Empyrical analysis. ESG score and stock prices. Number of employees and share price. Multiple correl. and model significance. From year T-2 to year 0 (2020-2022).

References

Bibliografia: pp. 79-83.

Thesis Type: Master's Degree Thesis
Institution: Luiss Guido Carli
Degree Program: Master's Degree Programs > Master's Degree Program in Management, English language (LM-77)
Chair: Financial reporting and performance measurement
Thesis Supervisor: Tiscini, Riccardo
Thesis Co-Supervisor: Fiori, Giovanni
Academic Year: 2022/2023
Session: Autumn
Deposited by: Alessandro Perfetti
Date Deposited: 12 Apr 2024 12:26
Last Modified: 12 Apr 2024 12:26
URI: https://tesi.luiss.it/id/eprint/38472

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