Fr. 198.00

Sustainable Finance - Strategies and Tools to Manage Climate Risk

English · Hardback

Will be released 01.12.2025

Description

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This book will assess existing policies on sustainable finance through contemporary case studies. This will explore how sustainable finance supports sustainable technology, which would reduce climate-related risks like the use of renewable energy sources, sustainable technology, smart home technology incentives, etc. The book will provide in-depth knowledge about various tools of sustainable finance that will reduce climate risk, like green bond policies, green building incentives, carbon tax policies at the national and international level, financial institute incentives for green technology, and many more.This book will provide comprehensive knowledge about the financial investment strategies of financial institutes and the regulatory framework at the government level. This will provide a scientific solution, empirical research, and analysis of the existing framework on sustainable finance aligned with climate risk.

List of contents

Part I: Introduction.- Chapter 1: Introduction and Brief History to Sustainable Finance.- Chapter 2: Climate Risk Management and Sustainable Finance.- Chapter 3: Strategy of Sustainable Investment towards renewal Energy.- Chapter 4: Green Bonds and Climate Bonds policies at international level.- Part II: Sustainable finance, investment factors and Recent Technology- Chapter 5: Integrating ESG Factors in Sustainable Investment Decisions.- Chapter 6: Smart technology investment strategy for Sustainable environment.- Chapter 7: Sustainable Finance investment and Sustainable technology for climate action plan.- Chapter 8: Sustainable investment Policies in renewable energy sources through Artificial Intelligence.- Part III: Challenges and Opportunities of Sustainable finance for climate action plan.- Chapter 9: Sustainable Investment policies integrated with new technologies.- Chapter 10: Carbon Tax and climate risk.- Chapter 11: Corporate Climate Risk Disclosure.- Chapter 12: Sustainable finance and Sustainable Development Gaol (SDG-2030).- Chapter 13: Financial Institutions strategy for Climate risk management.- Chapter 14: Government strategy to reduce climate risk through sustainable investment.- Chapter 15: Challenges and opportunity of sustainable finance in climate action plan.- Chapter 16: Case Studies in Sustainable Finance and climate Action Plan.

About the author

Dr. Rakesh Kumar is an eminent educationist and decorated army officer with 26 years of experience. He is a classic example of courage, commitment and intimate relationships. His areas of expertise are Finance, Business law, Labor Law, Technology, and his teaching concentration includes Finance, Business law, Labor Law, Technology. He is an interdisciplinary researcher. He is also involved in the course and syllabus designing and developing on various Management topics, including analytics, and management curriculum. He has served in Indian Army more than 23 year in management, academic, operational, and training. He has been part of many reputed government organizations in the Indian Army. He has published more than 102 research paper in leading database. He is editor of four books. He has published 33 Indian Patents. He has been part of the board of Study, board of examination, Evaluation department in government organization. He has completed M.COM, MBA (2 years PGDM), PGDCA, PGDBM etc. He has been part of Uttaranchal University. Currently he is working as Assistant Professor in Graphic Era Deemed to be university and acting extremely instrumental in strategic leadership.

Summary

This book will assess existing policies on sustainable finance through contemporary case studies. This will explore how sustainable finance supports sustainable technology, which would reduce climate-related risks like the use of renewable energy sources, sustainable technology, smart home technology incentives, etc. The book will provide in-depth knowledge about various tools of sustainable finance that will reduce climate risk, like green bond policies, green building incentives, carbon tax policies at the national and international level, financial institute incentives for green technology, and many more.This book will provide comprehensive knowledge about the financial investment strategies of financial institutes and the regulatory framework at the government level. This will provide a scientific solution, empirical research, and analysis of the existing framework on sustainable finance aligned with climate risk.

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