The Value of Esg Metrics in the Investment Process: Leveraging Esg Metrics in the Construction of European Stock Portfolios
暫譯: 投資過程中ESG指標的價值:在歐洲股票投資組合建構中利用ESG指標
Schleipfer, Alexander
- 出版商: Springer Gabler
- 出版日期: 2025-11-01
- 售價: $4,150
- 貴賓價: 9.5 折 $3,943
- 語言: 英文
- 頁數: 101
- 裝訂: Quality Paper - also called trade paper
- ISBN: 3658497882
- ISBN-13: 9783658497880
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相關分類:
投資理財 Investment
海外代購書籍(需單獨結帳)
相關主題
商品描述
Improving data availability is not merely enough to ensure superior decision-making. The value of data depends on its quality, comparability, and relevance. In the context of environmental, social, and governance (ESG) metrics, European regulations have strengthened data quality and comparability by enhancing transparency and standardization, but their relevance to capital allocation remains contested. However, investors striving for financial returns have begun to question whether ESG metrics can consistently drive risk-adjusted performance and competitive returns. This study traces the evolution of ESG investing and evaluates the explanatory power of Combined ESG Scores and Ratings, alongside their underlying metrics, for portfolio construction in asset management. Building on these findings, the ESG-F model provides a pragmatic pre-selection layer that turns ESG data into implementable selection criteria, enabling risk mitigation and opportunity capture.
商品描述(中文翻譯)
改善數據可用性並不足以確保優越的決策。數據的價值取決於其質量、可比性和相關性。在環境、社會和治理(ESG)指標的背景下,歐洲的法規透過增強透明度和標準化來加強數據的質量和可比性,但其對資本配置的相關性仍然存在爭議。然而,追求財務回報的投資者已開始質疑ESG指標是否能持續驅動風險調整後的表現和競爭性回報。本研究追溯了ESG投資的演變,並評估了綜合ESG分數和評級及其基礎指標在資產管理中的投資組合建構中的解釋力。基於這些發現,ESG-F模型提供了一個務實的預選層,將ESG數據轉化為可實施的選擇標準,從而實現風險緩解和機會捕捉。
作者簡介
Alexander Schleipfer is a strategy consultant specializing in sustainable finance. His research focuses on leveraging Environmental, Social, and Governance (ESG) metrics -which are becoming increasingly transparent and accessible through regulatory frameworks such as the Corporate Sustainability Reporting Directive (CSRD) to construct European equity portfolios, effectively bridging regulatory developments and strategic asset management.
作者簡介(中文翻譯)
亞歷山大·施萊普費爾是一位專注於可持續金融的策略顧問。他的研究重點在於利用環境、社會和治理(ESG)指標——這些指標透過如企業可持續性報告指令(CSRD)等監管框架變得越來越透明和可獲得——來構建歐洲股票投資組合,有效地將監管發展與策略資產管理相結合。