Portfolio approach to ESG-Investing: evidence from Central and Eastern Europe markets

dc.contributor.advisorКамінський, Андрій
dc.contributor.authorАдамська, Поліна
dc.date.accessioned2023-09-09T15:01:29Z
dc.date.available2023-09-09T15:01:29Z
dc.date.issued2023
dc.description.abstractResearch purpose and objectives. The purpose of this research lies in evaluation of Environmental, Social, and Governance factors’ impact on the investors’ portfolio risk and return in Central and Eastern European markets as well as developing of ESG- modified portfolio approach.
dc.identifier.urihttps://ekmair.ukma.edu.ua/handle/123456789/25879
dc.language.isoen
dc.subjectPortfolio approach
dc.subjectESG-Investing
dc.subjectevidence
dc.subjectмагістерська робота
dc.titlePortfolio approach to ESG-Investing: evidence from Central and Eastern Europe markets
dc.typeOther
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