Sustainable corporate finance
Corporate investment and environmental responsibility (game theory analysis tragedy of the commons).
The role of regulators in the transition to a low carbon economy; the market for carbon emissions rights.
Green and social bond issuance; social impact investment in private equity and venture capital.
Climate risk management
Methods to evaluate climate risk (scenario analysis).
Instruments to manage climate risk (weather derivatives the market for carbon trading) and their applications.
Corporate governance
Application of the difference-in-difference estimator and natural experiments to the concept of governance.
Incentives for a long-term perspective (executive compensation).
Responsibilities of the board of directors; diversity.
ESG Measures
Cross-sectional asset valuation models (the carbon premium).
ESG methodologies interpretation and limitations.
Demand for socially responsible funds.
Performance of sustainable investments
Factor models to assess the performance of ESG portfolios.
Sustainable investments and performance evaluation.
Green and social bonds and their performance.