• Study Resource
  • Explore Categories
    • Arts & Humanities
    • Business
    • Engineering & Technology
    • Foreign Language
    • History
    • Math
    • Science
    • Social Science

    Top subcategories

    • Advanced Math
    • Algebra
    • Basic Math
    • Calculus
    • Geometry
    • Linear Algebra
    • Pre-Algebra
    • Pre-Calculus
    • Statistics And Probability
    • Trigonometry
    • other →

    Top subcategories

    • Astronomy
    • Astrophysics
    • Biology
    • Chemistry
    • Earth Science
    • Environmental Science
    • Health Science
    • Physics
    • other →

    Top subcategories

    • Anthropology
    • Law
    • Political Science
    • Psychology
    • Sociology
    • other →

    Top subcategories

    • Accounting
    • Economics
    • Finance
    • Management
    • other →

    Top subcategories

    • Aerospace Engineering
    • Bioengineering
    • Chemical Engineering
    • Civil Engineering
    • Computer Science
    • Electrical Engineering
    • Industrial Engineering
    • Mechanical Engineering
    • Web Design
    • other →

    Top subcategories

    • Architecture
    • Communications
    • English
    • Gender Studies
    • Music
    • Performing Arts
    • Philosophy
    • Religious Studies
    • Writing
    • other →

    Top subcategories

    • Ancient History
    • European History
    • US History
    • World History
    • other →

    Top subcategories

    • Croatian
    • Czech
    • Finnish
    • Greek
    • Hindi
    • Japanese
    • Korean
    • Persian
    • Swedish
    • Turkish
    • other →
 
Profile Documents Logout
Upload
MIGA in Kosovo
MIGA in Kosovo

... • New Facility for Conflicted-Affected and Fragile Economies (CAFEF)  Catalyze foreign contractors/suppliers and investors into underdeveloped and risky markets, particularly into infrastructure  Open up or increase support for investments in environments not currently supported by ECAs and the pr ...
Invesco Global Investment Grade Corporate Bond Fund A
Invesco Global Investment Grade Corporate Bond Fund A

... target alpha through global thematic ideas. These themes are implemented within a robust risk-disciplined framework with the intention of performing well in any market environment. The fund benefits from the broadest possible universe due to its global mandate. This allows it to make full use of Inv ...
iii. current and reference scenario investment and financial
iii. current and reference scenario investment and financial

... responsible for the investments, not the sources of the funds.7 A government, for example, could fund an investment with tax revenue or with new debt in the form of bank loans or bonds. Similarly, a corporation could fund an investment from internal savings, new debt or new equity. The debt or equit ...
Funding Resources Document
Funding Resources Document

... http://www.homesandcommunities.co.uk/community-led-project-support The Community Led Project Support Programme broadens the scope of the original Community Right to Build programme which provided an alternative way for communities to deliver the development they want – be it homes, shops, businesses ...
Trial Measures for Overseas Securities Investment by Qualified
Trial Measures for Overseas Securities Investment by Qualified

... the investors according to the “Law of the People's Republic of China on Securities Investment Fund”, the “Securities Law of the People’s Republic of China”, and other relevant laws and administrative regulations. Article 2 The qualified domestic institutional investors (‘domestic institutional inve ...
draft - American Bar Association
draft - American Bar Association

... available from the American Bar Association’s Business Law Section at http://www.abanet.org/dch/committee.cfm?com=CL710060 10[._] (a) ...
Word - HIMIPref
Word - HIMIPref

... valuations of the issues are determined in accordance with a set criteria that is examined and tested continually. Emotion plays no part in the analysis: each factor contributing to the system’s evaluation of the issues has been found to have useful predictive power in the past – and HIMI insists th ...
WITAN INVESTMENT TRUST
WITAN INVESTMENT TRUST

... to sudden and large falls in value and you could get back nothing at all. Emerging markets tend to be more volatile than more established stock markets and therefore your money is at greater risk. Other risk factors such as political and economic conditions should also be considered. Funds which spe ...
Promoting and supporting SME development – the case of Kenya
Promoting and supporting SME development – the case of Kenya

... Access to Skills and Training (Building human capacity) ...
Interest rate
Interest rate

... • A specialized type of investment requiring study and knowledge of business. capital gains: profits from the sale of a capital asset such as stocks, bonds, or real estate. These profits are tax-deferred; you do not have to pay the tax on these profits until the asset is sold. Long-term capital gain ...
Indexed Emerging Markets Equity Fund
Indexed Emerging Markets Equity Fund

... Indexed Emerging Markets Equity Fund The Irish Life Indexed Emerging Markets Equity Fund invests in the listed equities of various emerging market countries. Emerging markets are defined as nations with social or business activity in the process of rapid growth and industrialisation. There are curr ...
Appendix A University of Virginia Investment Management Company
Appendix A University of Virginia Investment Management Company

... allocation ranges expressed by the Policy Portfolio. For managers whose returns are produced primarily through skill, including hedge funds, no more than 7.5% of Pool assets are allocated to a single manager. For long-term closed-end fund investments, including private equity and real estate funds, ...
Portfolio theory
Portfolio theory

... Source: Calculated by HHLEE using US Treasury Department’s TIC Database ...
Daily Equity Report - Highlight Investment Research
Daily Equity Report - Highlight Investment Research

... The information and views in this report, our website & all the service we provide are believed to be reliable, but we do not accept any responsibility (or liability) for errors of fact or opinion. Users have the right to choose the product/s that suits them the most. Investment in Stocks has its ow ...
Why it pays to be diversified
Why it pays to be diversified

... considered, since co-investments attract lower fees. Because only realized investments were used to calculate fund multiples, fee data for the overall fund cannot be overlaid to arrive at net multiples. However, if we suppose an average company holding time of five years and a 2% management fee on in ...
how ghana has improved its ease of doing business - NBA-SBL
how ghana has improved its ease of doing business - NBA-SBL

... The GIPC Mandate The Ghana Investment Promotion Centre (GIPC) is a government agency established under Act 865 to promote, coordinate and facilitate investment in the Ghanaian economy. ...
True Diversifiers: The Case for Multi-Strategy, Multi
True Diversifiers: The Case for Multi-Strategy, Multi

... growth of this asset class. What’s more, the increased ability to invest in alternatives through the mutual fund format has made it easier for investors to add this asset class to their portfolios. More specifically, we believe multi-strategy/manager alternative funds are a particularly compelling a ...
A Challenging Environment for Active Management.indd
A Challenging Environment for Active Management.indd

... encouraged by excessive monetary policy. We can observe this, however, in the performance of small cap companies, particularly ones with lower quality financials and greater earnings variability. This is how investors are playing the Fed’s free pass on risk and, more than any other time, these facto ...
The application of the theory of real estate
The application of the theory of real estate

... With the rapid development of China's real estate industry, real estate investment option is especially important. However, the real estate investment options have characteristics of high-yield and high-risk, so the development of scientific investment decision-making is very important. Real estate ...
Pathway to independence
Pathway to independence

... This example assumed a 95% probability rate. These hypothetical illustrations are based on rolling historical time period analysis and do not account for the effect of taxes, nor do they represent the performance of any Putnam fund or product, which will fluctuate. These illustrations use the histor ...
Affinity Investment Advisors, LLC
Affinity Investment Advisors, LLC

... Fiduciary Services is a separately managed account program sponsored by Morgan Stanley. For periods for which sufficient data is available, the profile shows a composite of client accounts managed by the investment manager in the Fiduciary Services program. Through June 2012, Morgan Stanley offered ...
Explaining investor preference for cash dividends
Explaining investor preference for cash dividends

... o Can manipulatae the doer’s opportunities by influencing their constraints o An indivdual who wishes to safeguard portfolio wealth may implement a rule that capital cannot be consumed, only dividends.  Prospect theory (Kahnerman & Tversky) – The form in which alternatives are presented (the way de ...
mySTART® Nominated Securities and Funds
mySTART® Nominated Securities and Funds

... relative to inflation over the medium term. Investment returns will vary from year to year and may be negative. ...
Now - CT Corporation
Now - CT Corporation

... classifications, with real estate contained within the financials sector classification. The new sector recognizes the impressive growth of REITs, which have outperformed the S&P 500 each year since 2009, up 24 percent annually versus 18 percent for the stock market index. Over the past 15 years, mo ...
- Covenant University Repository
- Covenant University Repository

... country investor friendly. Also its economy must be open to foreign trade, there must be political stability, sound economic management and well developed infrastructure. ...
< 1 ... 40 41 42 43 44 45 46 47 48 ... 124 >

Socially responsible investing



Socially responsible investing (SRI), also known as sustainable, socially conscious, ""green"" or ethical investing, is any investment strategy which seeks to consider both financial return and social good.In general, socially responsible investors encourage corporate practices that promote environmental stewardship, consumer protection, human rights, and diversity. Some avoid businesses involved in alcohol, tobacco, gambling, pornography, weapons, contraception/abortifacients/abortion, fossil fuel production, and/or the military. The areas of concern recognized by the SRI industry are sometimes summarized as ESG issues: environment, social justice, and corporate governance.""Socially responsible investing"" is one of several related concepts and approaches that influence and, in some cases govern, how asset managers invest portfolios. The term ""socially responsible investing"" sometimes narrowly refers to practices that seek to avoid harm by screening companies included in an investment portfolio. However, the term is also used more broadly to include more proactive practices such as impact investing, shareholder advocacy and community investing. According to investor Amy Domini, shareholder advocacy and community investing are pillars of socially responsible investing, while doing only negative screening is inadequate.
  • studyres.com © 2026
  • DMCA
  • Privacy
  • Terms
  • Report