Green Finance Instruments, FinTech, and Investment Strategies Sustainable Portfolio Management in the Post-COVID Era /
| Corporate Author: | |
|---|---|
| Other Authors: | , |
| Summary: | XII, 300 p. 25 illus., 24 illus. in color. text |
| Language: | English |
| Published: |
Cham :
Springer International Publishing : Imprint: Springer,
2023.
|
| Edition: | 1st ed. 2023. |
| Series: | Sustainable Finance,
|
| Subjects: | |
| Online Access: | https://doi.org/10.1007/978-3-031-29031-2 |
| Format: | Electronic Book |
Table of Contents:
- Part 1: Green Finance, Sustainability, and Investment Strategies
- Chapter 1. Multi-criteria Decision Analysis for Sustainable Green Financing in Energy Sector
- Chapter 2. The Development of the Global Green Finance Market: the Role of Banks and Non-banking Institutional Investors
- Chapter 3. Corporate Social Responsibility and Bank Credit Ratings
- Chapter 4. The Impact of Banking on Sustainable Financial Practices Towards an Equitable Economy
- Chapter 5. Ethical and Socially Responsible Investments in the Islamic Financial Framework: Heart, Mind, and Money: Religious Believes and Financial Decision-making
- Chapter 6. Malaysia’s Sustainable Banking Regulatory Framework: Value-based Intermediation and Climate Change Principle-based Taxonomy
- Part 2: the Impact of Fintech and Investment Sustainability
- Chapter 7. The Impact of the Digital Economy Paradigm on Investment Sustainability in Oman
- Chapter 8. The Sandbox in Saudi Arabia: a Regulatory Approach and Applications
- Chapter9. Risk Factors in Cryptocurrency Investments and Feasible Solution to Mitigate Them
- Chapter 10. The Examination of Shariah Compliance of Equity Crowdfunding Companies in Indonesia
- Chapter 11. Fintech and Banking: an Indian Perspective
- Chapter 12. Green Finance and Fintech: Towards a More Sustainable Financial System.