dc.contributor.advisor |
Billio, Monica |
it_IT |
dc.contributor.author |
Boffo, Riccardo <1995> |
it_IT |
dc.date.accessioned |
2020-10-13 |
it_IT |
dc.date.accessioned |
2021-02-02T10:03:06Z |
|
dc.date.issued |
2020-11-13 |
it_IT |
dc.identifier.uri |
http://hdl.handle.net/10579/18123 |
|
dc.description.abstract |
This Master’s thesis analyses performances of Environmental, Social and Governance (ESG) portfolios built through specific investment approaches in different geographical regions (Italy and U.S.). The intention is to understand how certain ESG investment strategies affect portfolio performances and how these compare to the benchmark portfolio. Moreover, the work aims to study how the application of these criteria affects the sustainability of these portfolios through an analysis of selected environmental, social and governance metrics. |
it_IT |
dc.language.iso |
en |
it_IT |
dc.publisher |
Università Ca' Foscari Venezia |
it_IT |
dc.rights |
© Riccardo Boffo, 2020 |
it_IT |
dc.title |
ESG Investing: Performances and impact in Italy and U.S. |
it_IT |
dc.title.alternative |
ESG Investing: Performances and impact in Italy and U.S. |
it_IT |
dc.type |
Master's Degree Thesis |
it_IT |
dc.degree.name |
Economia e finanza |
it_IT |
dc.degree.level |
Laurea magistrale |
it_IT |
dc.degree.grantor |
Dipartimento di Economia |
it_IT |
dc.description.academicyear |
2019-2020_Sessione autunnale |
it_IT |
dc.rights.accessrights |
closedAccess |
it_IT |
dc.thesis.matricno |
858078 |
it_IT |
dc.subject.miur |
SECS-P/11 ECONOMIA DEGLI INTERMEDIARI FINANZIARI |
it_IT |
dc.description.note |
|
it_IT |
dc.degree.discipline |
|
it_IT |
dc.contributor.co-advisor |
|
it_IT |
dc.date.embargoend |
10000-01-01 |
|
dc.provenance.upload |
Riccardo Boffo (858078@stud.unive.it), 2020-10-13 |
it_IT |
dc.provenance.plagiarycheck |
Monica Billio (billio@unive.it), 2020-10-19 |
it_IT |