Sustainable finance in Europe: an analysis of ESG risks' integration and SFDR

Paganelli, Margherita (A.A. 2022/2023) Sustainable finance in Europe: an analysis of ESG risks' integration and SFDR. Tesi di Laurea in Risk management, Luiss Guido Carli, relatore Daniele Penza, pp. 86. [Master's Degree Thesis]

Full text for this thesis not available from the repository.

Abstract/Index

Sustainable finance as a lever for the transition to a new economy. Sustainable finance development. ESG risks. Process of integrating sustainability into the risk management. European regulations. Sustainable financial disclosure regulation as a tool for promoting sustainability in finance: analysis of its key aspects. Regulation background. Background that led to the enactment of the SFDR regulations. Sustainable financial disclosure regulation’ content. SFDR and information asymmetry: how the new ESG regulation tackles the issue. BNP Paribas asset management case study: sustainability risk management process. BNP Paribas asset management approach to sustainable investing. ESG integration to improve risk-adjustment return. Voting and engagement activities. Forward-looking perspective: the 3Es. Investment solutions for sustainability. “Walking the talk”, own corporate social responsibility (CSR) policy as a firm. Has BNPP AM been able to manage sustainability risk? Has SFDR impacted ESG risks in BNP Paribas asset management?

References

Sitografia: pp. 81-84. Bibliografia: p. 85.

Thesis Type: Master's Degree Thesis
Institution: Luiss Guido Carli
Degree Program: Master's Degree Programs > Master's Degree program in Corporate Finance, English language (LM-77)
Chair: Risk management
Thesis Supervisor: Penza, Daniele
Thesis Co-Supervisor: Morelli, Giacomo
Academic Year: 2022/2023
Session: Summer
Deposited by: Alessandro Perfetti
Date Deposited: 19 Dec 2023 12:01
Last Modified: 19 Dec 2023 12:01
URI: https://tesi.luiss.it/id/eprint/37363

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