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Financing Regions Toward Sustainability in the Midst of Climate Change Risks and Uncertainty
  • Language: en
  • Pages: 381

Financing Regions Toward Sustainability in the Midst of Climate Change Risks and Uncertainty

  • Type: Book
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  • Published: 2023-08-07
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  • Publisher: IGI Global

Financing Regions Toward Sustainability in the Midst of Climate Change Risks and Uncertainty is a groundbreaking book edited by Beata Zofia Filipiak, Dominika Kordela, and Izabela Nawrolska from the University of Szczecin, Poland. The book provides a comprehensive guide to financing regions towards sustainability in the midst of climate change risks and uncertainty. With a focus on changes and challenges related to sustainable regional development, the book offers innovative solutions and good practices towards achieving sustainable development goals. The book is an indispensable tool for decision- makers and stakeholders seeking to effectively respond to the unfulfilled promises left to future generations in areas of employment, social progress, quality of life, and respect for nature. It is a must-read for anyone interested in sustainable regional development and offers a range of perspectives and solutions to help decision- makers and stakeholders effectively respond to the challenges of climate change risks and uncertainty. With its innovative approach and fresh insights, this book is a valuable contribution to the field of sustainable finance and development.

Sustainability in Bank and Corporate Business Models
  • Language: en
  • Pages: 303

Sustainability in Bank and Corporate Business Models

The book explains the impact of bank business models on company business models by discussing the relationship among banks decision-making processes, sustainable values creation in company business models, and ESG risk. The monograph provides a combination of financial and management-related activities, in the context of bank business models, taking into account the concept of sustainability, and will be of particular interest to both in-house practitioners, giving them innovative knowledge about the models presented and used, and to students and young researchers. The project is financed within the framework of the program of the Minister of Science and Higher Education under the name „Regional Excellence Initiative” in the years 2019 – 2022; project number 001/RID/2018/19; the amount of financing PLN 10,684,000.00.

Handbook of Research on Global Aspects of Sustainable Finance in Times of Crises
  • Language: en
  • Pages: 442

Handbook of Research on Global Aspects of Sustainable Finance in Times of Crises

  • Type: Book
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  • Published: 2021-11-19
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  • Publisher: IGI Global

Sustainable finance has been one of the emerging areas of finance in the last decade. With its emphasis on any form of financial services that take environmental, social and governance (ESG) considerations into account in decision-making processes, it can help to improve social well-being, preserve the ecosystems and promote sustainable economic development. Furthermore, it can contribute to economic and financial resilience, along with enabling sustainable recovery against crises arising from physical or financial shocks. The Handbook of Research on Global Aspects of Sustainable Finance in Times of Crises discusses theory and concepts, focuses on practices and strategies, addresses the rece...

Fostering Sustainable Business Models through Financial Markets
  • Language: en
  • Pages: 183

Fostering Sustainable Business Models through Financial Markets

The aim of this volume is to foster more sustainable business models through financial markets. To that end, it is necessary to know the main global challenges facing financial markets and their impact on creating sustainable value in business models of enterprises in the context of sustainable adaptation. The book focuses on assessing the decision criteria adopted by financial markets in the process of transaction risk valuation, in terms of the presence of Environmental, Social, and Governance (ESG) criteria, and by assessing the impact of including these criteria in the risk assessment process by financial markets in business decisions, leading as a consequence to building new value in th...

Sustainable Finance in the Green Economy
  • Language: en
  • Pages: 275

Sustainable Finance in the Green Economy

This book explores issues related to green and sustainable finance which aims at the transformation of economies into a new, more sustainable model. It covers a variety of issues related to various financial areas, such as: corporate finance, public finance, monetary and fiscal policy, and risk management. The enclosed papers reflect the extent, diversity, and richness of research areas in the finance and sustainability fields, both fundamental and applied, and are beneficial to researchers, practitioners, scholars and policy makers in economics, finance, and international economics.

Fuzzy Business Models and ESG Risk
  • Language: en
  • Pages: 163

Fuzzy Business Models and ESG Risk

This book discusses fuzzy business models and focuses on using fuzzy logic in business processes from the perspective of financial institutions when integrating ESG factors and risk. Developing and examining sustainable business models requires an appropriate methodology that would consider the specificity of business models because the measurement of this phenomenon is often based on values from specific ranges and requires a fuzzy approach. According to the law, regulations, and recommendations, financial institutions and businesses must incorporate Environmental Social Governance factors and ESG risk in their decision-making process. Sustainable financial institutions include ESG risk in ...

Problems, Methods and Tools in Experimental and Behavioral Economics
  • Language: en
  • Pages: 342

Problems, Methods and Tools in Experimental and Behavioral Economics

  • Type: Book
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  • Published: 2018-09-18
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  • Publisher: Springer

These proceedings highlight research on the latest trends and methods in experimental and behavioral economics. Featuring contributions presented at the 2017 Computational Methods in Experimental Economics (CMEE) conference, which was held in Lublin, Poland, it merges findings from various domains to present deep insights into topics such as game theory, decision theory, cognitive neuroscience and artificial intelligence. The fields of experimental economics and behavioral economics are rapidly evolving. Modern applications of experimental economics require the integration of know-how from disciplines including economics, computer science, psychology and neuroscience. The use of computer tec...

Environmental Risk Modelling in Banking
  • Language: en
  • Pages: 185

Environmental Risk Modelling in Banking

Environmental risk directly affects the financial stability of banks since they bear the financial consequences of the loss of liquidity of the entities to which they lend and of the financial penalties imposed resulting from the failure to comply with regulations and for actions taken that are harmful to the natural environment. This book explores the impact of environmental risk on the banking sector and analyzes strategies to mitigate this risk with a special emphasis on the role of modelling. It argues that environmental risk modelling allows banks to estimate the patterns and consequences of environmental risk on their operations, and to take measures within the context of asset and lia...

Research Anthology on Macroeconomics and the Achievement of Global Stability
  • Language: en
  • Pages: 1953

Research Anthology on Macroeconomics and the Achievement of Global Stability

  • Type: Book
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  • Published: 2022-08-05
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  • Publisher: IGI Global

The COVID-19 pandemic has shocked economies around the world and created an era of global instability. As the pandemic comes to a close, it is essential to examine global economies in order to achieve and maintain global stability. By maintaining global stability, the world may be prepared for future economic shocks. The Research Anthology on Macroeconomics and the Achievement of Global Stability discusses the emerging opportunities, challenges, and strategies within the field of macroeconomics. It features advancements in the field that encourage global economic stability. Covering topics such as Islamic banking, international trade, and Econophysics, this major reference work is an ideal resource for economists, government leaders and officials, business leaders and executives, finance professionals, students and educators of higher education, librarians, researchers, and academicians.