Abstract
The research is concentrated on the issues of the current ESG investing trends. There are main ESG factors that influence the inclusion of contingent assets in an investment portfolio. Considering environmental, social and governance factors, we provided the methodology, which establishes specific processes for the selection of financial instruments. We also examined the international practice of issuer sustainability analysis in the current economic environment. The analysis was based on data of more than 2,000 US ETFs with ESG scores, returns and volatility indicators. In addition, the article presents ESG criteria for socially responsible investment. All the factors identified are graded according to their basic properties and objectives. Finally, the study proposes a sequence of financial asset searches in order to realise the urgent sustainable evelopment agenda of today’s economy.
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More From: Scientific Works of the Free Economic Society of Russia
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