Risk, Return, Resilience

The Three Pillars of Sustainable Green Finance

Risk, Return, Resilience: The Three Pillars of Sustainable Green Finance presents green finance as a practical discipline that links financial choices with real-world outcomes. With a strong focus on emerging markets, the book explains how capital influences projects, public policy, and everyday infrastructure across energy, transport, buildings, agriculture, and social systems. Written as a cross-disciplinary guide, it speaks to investors, decision-makers, and policymakers working across finance, management, engineering, planning, environmental studies, health, and the social sciences. Concepts are explained in clear, accessible language and grounded in real decision-making environments within banks, companies, cities, and public institutions. WHO THIS BOOK IS FORInvestors seeking a practical understanding of sustainable and green finance Decision-makers involved in infrastructure, development, and sustainability Policymakers shaping financial, environmental, and social frameworks Professionals working in banks, funds, companies, consultancies, and public institutions

Dezember 2025, ca. 412 Seiten, Englisch
Pen and Paper Academy
978-81-996257-2-3

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