Year
2021
Abstract
Market prices usually do not properly incorporate the negative risk-bearing externalities. Investors are under pressure from increasing regulations, NGO and media to take them into account. As risk managers, more and more investors are demanding extra-financial analyzes from rating agencies for sustainable, responsible and inclusive finance.
DECLERCK, F. (2021). La finance sera durable, responsable et inclusive ou ne sera pas. Question(s) de Management, France.