Sustainable Investments in Green Finance

· · · ·
· IGI Global
كتاب إلكتروني
373
صفحة
مؤهل
لم يتم التحقّق من التقييمات والمراجعات.  مزيد من المعلومات

معلومات عن هذا الكتاب الإلكتروني

Never has the world been so heavily marked by the escalating challenges of climate change, dwindling natural resources, and escalating environmental crises. Finding viable solutions has become increasingly imperative as a result of these challenges. The daunting issue at hand is the dire need for financing sustainable initiatives that can effectively combat these global challenges. This financial gap often poses a significant roadblock, hindering progress towards a more environmentally conscious and sustainable future.

Sustainable Investments in Green Finance serves as a resource to examine this issue and provide solutions. This meticulously researched book offers real-world case studies that not only highlight the gravity of these challenges but also present tangible solutions. Readers will explore a myriad of sustainable finance mechanisms, collaborative stakeholder efforts, and visionary project objectives that have successfully navigated these obstacles. The book also delves into topics such as the renewable energy revolution, sustainable infrastructure transformations, green bonds, climate finance, nature-based solutions, circular economy innovations, and socially responsible investing.

نبذة عن المؤلف

Sanjay Taneja holds a PhD in Banking & Finance from Chaudhary Devi University, Sirsa, India. He is currently an Associate Professor in Research at Graphic Era University, Dehradun, India, and an Affiliate professor, at the University of Usak, Turkey. His significant thrust areas are Banking Regulations, Banking and Finance (Fin Tech, Green Finance), Risks, Insurance Management, Green Economics and Management of Innovation in Insurance. He received his Post Doctoral Degree from the Faculty of Social Sciences, Department of Banking and Insurance, Usak University, Turkey He has published research papers in reputed SCOPUS/Web of Science/SCI/ABDC/UGC Care Journals. Prof. Taneja has more than fifty publications in total in Journals indexed in Scopus/ABDC/Web of Science.

Pawan Kumar has academic experience of 18 years and has done his PhD from Kurukshetra University, Kurukshetra. He has published more than 30 papers in national and international journals and has presented 35 papers in National & International seminars and conferences. He is also guest editor in three journals (special issue of) indexed in Scopus. Furthermore he has 8 projects for the call for chapters from reputed Publishing houses.

Simon Grima, PhD, is the Deputy Dean of the Faculty of Economics, Management and Accountancy and Associate Professor and Head of the Insurance and Risk Management Department at the University of Malta, Msida, Malta. He coordinates the MA and MSc Insurance and Risk Management degrees and the undergraduate degree program in Insurance. He is also a Professor at the University of Latvia, Faculty of Business, Management and Economics and a visiting Professor at Università Cattolica del Sacro Cuore, Milan, Italy. He served as the President of the Malta Association of Risk Management and President of the Malta Association of Compliance Officers. In addition, he is the chairman of the Scientific Education Committee of the Public Risk Management Organization (PRIMO) and the Federation of European Risk Managers (FERMA).. His research focuses on governance, regulations, and internal controls. He has over 35 years of varied experience in financial services, academia, and public entities. He has acted as co-chair and is a member of the scientific program committees at several international conferences. He is also a chief editor, editor, and review editor of several journals and book series. He has been awarded outstanding reviewer for the Journal of Financial Regulation and Compliance Emerald Literati Awards in 2017 and 2022. Professor Grima acts as an independent director for financial services firms; sits on risk, compliance, procurement, investment, and audit committees; and carries out duties as a compliance officer, internal auditor, and risk manager.

|Ercan ÖZEN - Editor|Prof . Ercan Özen , received his BSc in Public Finance (1994), MSc in Business-Accounting (1997), PhD in Business Finance (2008) from University of Afyon Kocatepe. Now he is associate professor of finance in department of banking and finance, Faculty of Applied Sciences, University of Uşak, Turkey. His current research interests include different aspects of Finance. He has (co-) authored 10 book chapters and more than 50 papers, more than 40 conferences participation, member in International Program Committee of 3 conferences and workshops. He is chair of International Applied Social Sciences Congress. Author also is certificated accountant, member of Agean Finance Association and member of TEMA (Turkey Combating Soil Erosion, for Reforestation and the Protection of Natural Resources Foundation.) [Editor]

تقييم هذا الكتاب الإلكتروني

أخبرنا ما هو رأيك.

معلومات القراءة

الهواتف الذكية والأجهزة اللوحية
ينبغي تثبيت تطبيق كتب Google Play لنظام التشغيل Android وiPad/iPhone. يعمل هذا التطبيق على إجراء مزامنة تلقائية مع حسابك ويتيح لك القراءة أثناء الاتصال بالإنترنت أو بلا اتصال بالإنترنت أينما كنت.
أجهزة الكمبيوتر المحمول وأجهزة الكمبيوتر
يمكنك الاستماع إلى الكتب المسموعة التي تم شراؤها على Google Play باستخدام متصفح الويب على جهاز الكمبيوتر.
أجهزة القراءة الإلكترونية والأجهزة الأخرى
للقراءة على أجهزة الحبر الإلكتروني، مثل أجهزة القارئ الإلكتروني Kobo، عليك تنزيل ملف ونقله إلى جهازك. يُرجى اتّباع التعليمات المفصّلة في مركز المساعدة لتتمكّن من نقل الملفات إلى أجهزة القارئ الإلكتروني المتوافقة.