Measuring and Managing ESG Risks in Sovereign Bond Portfolios and Implications for Sovereign Debt Investing

The Journal of Portfolio Management, Vol. 47, Issue 9, Novel Risks 2021
 

Author(s):

Lionel Martellini

EDHEC Business School EDHEC-Risk Institute

Lou-Salomé Vallée

EDHEC Business School

The Journal of Portfolio Management, Vol. 47, Issue 9, Novel Risks 2021
 

Type: Academic publication
Date: le 04/09/2021
Research Cluster : Finance
Source : The Journal of Portfolio Management

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