将环境、社会和治理因素纳入投资组合管理:国际趋势与实践

Ningwei Ma
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引用次数: 0

摘要

随着可持续发展理念的推广,ESG(环境、社会和治理)投资已成为当今投资领域的重要趋势。本文阐述了 ESG 投资的相关概念,分析了 ESG 投资在全球的发展情况,探讨了 ESG 评级与公司财务和非财务业绩之间的关系,并提出了评级体系与资本成本、员工满意度等之间的相关性。在此基础上,文章讨论了ESG因素在国际投资组合管理中的具体应用,包括ESG整合方法、投资组合构建策略和风险管理。研究表明,对环境、社会和公司治理因素的考虑为投资决策提供了更全面的维度,强调了投资组合的可持续性,为投资者和企业提供了有价值的见解。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Integration of ESG Factors in Portfolio Management: International Trends and Practices
The promotion of the concept of sustainable development has made ESG (Environmental, Social, and Governance) investing a significant trend in today's investment landscape. This article elaborates on the relevant concepts of ESG investing, analyzes the global development of ESG investing, explores the relationship between ESG ratings and company financial and non-financial performance, and suggests the correlation between rating systems and capital costs, employee satisfaction, and more. Based on this foundation, the article discusses the specific application of ESG factors in international portfolio management, including ESG integration methods, portfolio construction strategies, and risk management. Research indicates that the consideration of ESG factors provides a more comprehensive dimension for investment decision-making, emphasizing sustainability in investment portfolios, and offering valuable insights for investors and businesses.
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