ESG(环境、社会和治理)、医疗保健和金融部门的风险建模。

IF 3 3区 医学 Q1 MATHEMATICS, INTERDISCIPLINARY APPLICATIONS
Risk Analysis Pub Date : 2025-03-01 Epub Date: 2023-07-21 DOI:10.1111/risa.14195
Sajid M Chaudhry, Xihui Haviour Chen, Rizwan Ahmed, Muhammad Ali Nasir
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引用次数: 0

摘要

气候变化带来了巨大的生态、社会经济、健康和金融挑战。本研究采用一种新的极值理论,对环境、社会和治理(ESG)、医疗保健和金融部门的风险进行建模,并评估其下行风险、极端系统性风险和极端溢出风险。我们使用了1999年7月1日至2022年6月30日期间医疗保健和金融部门以及2007年7月1日至2022年6月30日期间ESG部门的交易所交易基金(etf)的丰富全球每日数据。我们发现,当我们考虑尾部指数、尾部分位数和尾部预期缺口时,金融部门是风险最大的。然而,当我们考虑到ETF下跌25%或50%的冲击时,ESG行业在极端环境下表现出最高的尾部风险。当中国出现冲击时,ESG行业构成的极端系统性风险最高。最后,我们发现,与金融行业相比,ESG和医疗保健行业的极端溢出风险(传染风险)较低。我们的研究旨在为发展可持续的经济、商业和金融战略提供有价值的见解。为了实现这一目标,我们对ESG、医疗保健和金融部门进行了全面的风险评估,采用创新的方法进行风险建模,以应对生态挑战。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Risk modelling of ESG (environmental, social, and governance), healthcare, and financial sectors.

Climate change poses enormous ecological, socio-economic, health, and financial challenges. A novel extreme value theory is employed in this study to model the risk to environmental, social, and governance (ESG), healthcare, and financial sectors and assess their downside risk, extreme systemic risk, and extreme spillover risk. We use a rich set of global daily data of exchange-traded funds (ETFs) from 1 July 1999 to 30 June 2022 in the case of healthcare and financial sectors and from 1 July 2007 to 30 June 2022 in the case of ESG sector. We find that the financial sector is the riskiest when we consider the tail index, tail quantile, and tail expected shortfall. However, the ESG sector exhibits the highest tail risk in the extreme environment when we consider a shock in the form of an ETF drop of 25% or 50%. The ESG sector poses the highest extreme systemic risk when a shock comes from China. Finally, we find that ESG and healthcare sectors have lower extreme spillover risk (contagion risk) compared to the financial sector. Our study seeks to provide valuable insights for developing sustainable economic, business, and financial strategies. To achieve this, we conduct a comprehensive risk assessment of the ESG, healthcare, and financial sectors, employing an innovative approach to risk modelling in response to ecological challenges.

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来源期刊
Risk Analysis
Risk Analysis 数学-数学跨学科应用
CiteScore
7.50
自引率
10.50%
发文量
183
审稿时长
4.2 months
期刊介绍: Published on behalf of the Society for Risk Analysis, Risk Analysis is ranked among the top 10 journals in the ISI Journal Citation Reports under the social sciences, mathematical methods category, and provides a focal point for new developments in the field of risk analysis. This international peer-reviewed journal is committed to publishing critical empirical research and commentaries dealing with risk issues. The topics covered include: • Human health and safety risks • Microbial risks • Engineering • Mathematical modeling • Risk characterization • Risk communication • Risk management and decision-making • Risk perception, acceptability, and ethics • Laws and regulatory policy • Ecological risks.
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