Sustainable Investing and Climate Transition Risk: A Portfolio Rebalancing Approach
Giacomo Bressan, Irene Monasterolo and Stefano Battiston
The Journal of Portfolio Management Novel Risks 2022, 48 (10) 165-192; DOI: https://doi.org/10.3905/jpm.2022.1.394
Giacomo Bressan
is a PhD student at the Vienna University of Economics and Business in Austria
Irene Monasterolo
is a professor of climate finance at the EDHEC Business School and EDHEC-Risk Climate Impact Institute in Nice, France
Stefano Battiston
is an associate professor of sustainable finance and networks at the University of Zurich in Switzerland and an associate professor at Ca’ Foscari, University of Venice in Italy
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In this issue
The Journal of Portfolio Management
Vol. 48, Issue 10
Novel Risks 2022
Sustainable Investing and Climate Transition Risk: A Portfolio Rebalancing Approach
Giacomo Bressan, Irene Monasterolo, Stefano Battiston
The Journal of Portfolio Management Sep 2022, 48 (10) 165-192; DOI: 10.3905/jpm.2022.1.394