Extracto
Table of content
I. Introduction
II. What is socially responsible Investment?
A. Terminology
B. History
C. Strategies
1. Negative Screening
2. Shareholder Activism
3. Positive Investing
4. Impact Investing
III. Relative performance of SRI portfolios
IV. Deduction
V. Appendix
Final del extracto de 16 páginas
- Citar trabajo
- Julian Popov (Autor), 2017, Socially Responsible Investment. ECG Factors, Múnich, GRIN Verlag, https://www.grin.com/document/412287
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