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气候变化与资产配置:一种产生影响的区分

Climate Change and Asset Allocation: A Distinction That Makes a Difference

The Journal of Portfolio Management · 2021
被引 5
人大 BABS 3

中文导读

基于证据估计气候变化对经济增长、股票回报和市场波动的影响,并展示如何将不同气候变化情景纳入资产配置决策,以构建稳健的投资组合。

Abstract

It has become generally accepted that climate change affects economic variables such as growth and inflation. Via these economic channels, it is likely that climate change will also affect asset returns and risks. The authors provide evidence-based estimates of what these effects are and discuss how to incorporate climate change to build portfolios that are robust to a variety of climate change scenarios. <b>TOPICS:</b>Portfolio construction, ESG investing, risk management, tail risks <b>Key Findings</b> ▪ Climate change will likely lower economic growth and equity returns while increasing equity market volatility. ▪ A simple example is used to show how to incorporate various climate change scenarios into asset allocation decisions. ▪ Based on empirical risk and returns for traditional and highly rated environment, social, and governance indexes, it is a simple matter of using constrained optimization to achieve investment outcomes with sustainability goals or constraints.

资产配置气候变化投资组合ESG投资风险管理