投资(军事)
气候变化
可持续发展
环境规划
业务
自然资源经济学
政治学
环境资源管理
环境科学
经济
政治
地质学
海洋学
法学
作者
C. T. Vidya,K.P. Prabheesh
标识
DOI:10.1142/s146433322450008x
摘要
This study conducts an empirical analysis of the impact of climate risk on Environmental, Social, and Governance (ESG) investments in Asia. Using monthly data from 2015 to 2022 for 11 Asian countries and applying wavelet coherence analysis with a panel Auto-regressive Distributed Lag Model (ARDL) cointegration approach, the study concludes that (1) ESG and stock market returns are positively correlated during economic turmoil in China and Malaysia; (2) climate risk positively influences ESG returns, suggesting that it enhances returns during uncertain times rather than having a detrimental effect; (3) returns on conventional assets are negatively impacted by climate risk; and (4) ESG investments serve as an effective hedge against climate risk and provide a sound strategy for portfolio diversification in the Asian market.
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