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Climate Change and Asset Management

Sergio M. Focardi and Frank J. Fabozzi
The Journal of Portfolio Management Ethical Investing 2020, 46 (3) 95-107; DOI: https://doi.org/10.3905/jpm.2020.46.3.095
Sergio M. Focardi
is a professor of finance at Pôle Universitaire Léonard de Vinci in Paris, France
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Frank J. Fabozzi
is a professor of finance at EDHEC Business School in Nice, France
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The Journal of Portfolio Management: 46 (3)
The Journal of Portfolio Management
Vol. 46, Issue 3
Ethical Investing 2020
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Climate Change and Asset Management
Sergio M. Focardi, Frank J. Fabozzi
The Journal of Portfolio Management Jan 2020, 46 (3) 95-107; DOI: 10.3905/jpm.2020.46.3.095

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Climate Change and Asset Management
Sergio M. Focardi, Frank J. Fabozzi
The Journal of Portfolio Management Jan 2020, 46 (3) 95-107; DOI: 10.3905/jpm.2020.46.3.095
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  • Article
    • Abstract
    • BACKGROUND
    • GLOBAL EFFECT OF CLIMATE CHANGE ON RETURNS
    • HOW SHOULD ASSET OWNERS BEHAVE TO PROFIT FINANCIALLY FROM CLIMATE CHANGE?
    • HOW SHOULD ASSET OWNERS BEHAVE IF THEY FEEL A SOCIAL AND MORAL OBLIGATION TO FIGHT CLIMATE CHANGE?
    • PORTFOLIO CONSTRUCTION AND RISK MANAGEMENT
    • THE ROLE OF THE DEBT MARKETS IN CONTROLLING CLIMATE RISK
    • CONCLUSION
    • ADDITIONAL READING
    • ENDNOTES
    • REFERENCES
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