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A publicação pode ser exportada nos seguintes formatos: referência da APA (American Psychological Association), referência do IEEE (Institute of Electrical and Electronics Engineers), BibTeX e RIS.

Exportar Referência (APA)
Gonçalves, V. (2022). Introduction to Sustainable Finance. Context, questions and areas for research. Exchange Week for Erasmus + visiting professors at Iscte Business School.
Exportar Referência (IEEE)
V. B. Gonçalves,  "Introduction to Sustainable Finance. Context, questions and areas for research", in Exchange Week for Erasmus + visiting professors at Iscte Business School, Lisboa, 2022
Exportar BibTeX
@misc{gonçalves2022_1776119328859,
	author = "Gonçalves, V.",
	title = "Introduction to Sustainable Finance. Context, questions and areas for research",
	year = "2022",
	howpublished = "Digital"
}
Exportar RIS
TY  - CPAPER
TI  - Introduction to Sustainable Finance. Context, questions and areas for research
T2  - Exchange Week for Erasmus + visiting professors at Iscte Business School
AU  - Gonçalves, V.
PY  - 2022
CY  - Lisboa
AB  - Introduction to Sustainable Finance. Context, questions and areas for research

The context
1.	Physical risks
2.	Transition risks
3.	Impacts on reputation
4.	Regulation pressure
5.	Consumer pressure
6.	Pressure of technological evolution
7.	Impacts of the European Green Deal on business

Questions:
1.	Any knowledge about the real impact of the sustainability issue on the national market of different countries?
2.	What are the main lines of research?
3.	More ESG risk => higher cost of capital ?
4.	ESG investing: what impact on corporate behavior and on asset performance and yield?
5.	Are there short term transition costs and long term benefits?
6.	How to incorporate ESG in the investment process? A non-financial information standard is still lacking. But 
        more policy responses and new technologies emerge
7.	What ESG information is needed?
8.	What non-monetary benefits?
9.	What role for regulation and asset managers?
10.	How to define appropriate sustainability strategies for companies (and for FIs) that mediate competitive 
        advantages and performance?
11.	What financing strategies for sustainability?

Theoretical questions/Areas for research
1.	Internalization of externalities in investment decisions and performance measures
2.	Investment decisions based on “value drivers” of companies based on strategic and risk analysis in the 
        context of the environmental and digital transition
3.	Different sectors with different socio-economic transitions and companies with different transition capacities
        and different long-term value potential.
4.	Qualitative research on how the market appreciates green and sustainable practices
5.	Reformulation of portfolio theory / to a new, more integrative Financial Theory
        a)	Potential for diversification
                -  More income types (with financial and non-financial accounting)
                -  More risk classes (ESG) 
        b)	Time
                - Temporal effect of financial, environmental and social analysis
        (Traditional finance as a special case, with narrow set of the aspects mentioned)

ER  -