【座礁資産:ファイナンスおよび投資における発展】
Stranded Assets H 184 p. 18
目次
Introduction: stranded assets and the environment 1. Investment consequences of the Paris climate agreement 2. Blindness to risk: why institutional investors ignore the risk of stranded assets 3. Transition risks and market failure: a theoretical discourse on why financial models and economic agents may misprice risk related to the transition to a low-carbon economy 4. Social and asocial learning about climate change among institutional investors: lessons for stranded assets 5. Assessing the sources of stranded asset risk: a proposed framework 6. Climate change and the fiduciary duties of pension fund trustees – lessons from the Australian law 7. Game theory and corporate governance: conditions for effective stewardship of companies exposed to climate change risks 8. A comparative analysis of the anti-Apartheid and fossil fuel divestment campaigns
カート
カートに商品は入っていません。