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Published by Springer Nature Switzerland AG, Cham, 2025
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Hardcover. Condition: new. Hardcover. This book explores the intersection of artificial intelligence and sustainable finance, offering a comprehensive analysis of AI's transformative impact on the global financial landscape. It demystifies the complex relationship between AI and sustainability, highlighting the unprecedented opportunities and challenges that arise when these forces converge. Through real-world case studies, cutting-edge research, and expert insights, the book elucidates how AI can drive environmentally conscious decision-making in finance. It discusses how machine learning algorithms, data analytics, and predictive modeling can help integrate environmental, social, and governance (ESG) considerations into investment strategies.Going beyond theory, the book provides actionable guidance for financial professionals, policymakers, and technologists. It emphasizes the need for ethical and responsible AI applications and addresses potential pitfalls and safeguards against unintended consequences. This book serves as a pivotal resource for those interested in harnessing AI's potential in sustainable finance. It offers a roadmap for harmonious coexistence between AI and sustainable finance, contributing to a more resilient and equitable global economy. With its comprehensive analysis and interdisciplinary approach, the book is valuable for scholars, policymakers, practitioners, and general readers seeking to understand and navigate the complex issues surrounding AI and sustainable finance. This book explores the intersection of artificial intelligence and sustainable finance, offering a comprehensive analysis of AI's transformative impact on the global financial landscape. Shipping may be from multiple locations in the US or from the UK, depending on stock availability.
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Published by Springer Nature Singapore, Springer Nature Singapore, 2025
ISBN 10: 9819664942 ISBN 13: 9789819664948
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Buch. Condition: Neu. Druck auf Anfrage Neuware - Printed after ordering - This book explores the intersection of artificial intelligence and sustainable finance, offering a comprehensive analysis of AI's transformative impact on the global financial landscape. It demystifies the complex relationship between AI and sustainability, highlighting the unprecedented opportunities and challenges that arise when these forces converge. Through real-world case studies, cutting-edge research, and expert insights, the book elucidates how AI can drive environmentally conscious decision-making in finance. It discusses how machine learning algorithms, data analytics, and predictive modeling can help integrate environmental, social, and governance (ESG) considerations into investment strategies.Going beyond theory, the book provides actionable guidance for financial professionals, policymakers, and technologists. It emphasizes the need for ethical and responsible AI applications and addresses potential pitfalls and safeguards against unintended consequences. This book serves as a pivotal resource for those interested in harnessing AI's potential in sustainable finance. It offers a roadmap for harmonious coexistence between AI and sustainable finance, contributing to a more resilient and equitable global economy. With its comprehensive analysis and interdisciplinary approach, the book is valuable for scholars, policymakers, practitioners, and general readers seeking to understand and navigate the complex issues surrounding AI and sustainable finance.
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Published by Springer Nature Switzerland AG, Cham, 2025
ISBN 10: 9819664942 ISBN 13: 9789819664948
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Hardcover. Condition: new. Hardcover. This book explores the intersection of artificial intelligence and sustainable finance, offering a comprehensive analysis of AI's transformative impact on the global financial landscape. It demystifies the complex relationship between AI and sustainability, highlighting the unprecedented opportunities and challenges that arise when these forces converge. Through real-world case studies, cutting-edge research, and expert insights, the book elucidates how AI can drive environmentally conscious decision-making in finance. It discusses how machine learning algorithms, data analytics, and predictive modeling can help integrate environmental, social, and governance (ESG) considerations into investment strategies.Going beyond theory, the book provides actionable guidance for financial professionals, policymakers, and technologists. It emphasizes the need for ethical and responsible AI applications and addresses potential pitfalls and safeguards against unintended consequences. This book serves as a pivotal resource for those interested in harnessing AI's potential in sustainable finance. It offers a roadmap for harmonious coexistence between AI and sustainable finance, contributing to a more resilient and equitable global economy. With its comprehensive analysis and interdisciplinary approach, the book is valuable for scholars, policymakers, practitioners, and general readers seeking to understand and navigate the complex issues surrounding AI and sustainable finance. This book explores the intersection of artificial intelligence and sustainable finance, offering a comprehensive analysis of AI's transformative impact on the global financial landscape. Shipping may be from our Sydney, NSW warehouse or from our UK or US warehouse, depending on stock availability.
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Published by Emerald Group Pub Ltd, 2026
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ISBN 10: 1837080895 ISBN 13: 9781837080892
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Hardcover. Condition: new. Hardcover. As the world grapples with the impacts of climate change, emerging markets are approaching an inflection point. The heightened vulnerability of economic growth, social stability, and ecological integrity due to severe weather and environmental degradation may have far reaching consequences for developing economies. However, these challenges also present significant opportunities for innovation, resilience, and sustained development.Climate Risk and Emerging Markets: Valuation, Volatility, and Portfolio Strategies delves into the unique challenges that emerging economies encounter, including the threats posed by rising sea levels and disruptions to agriculture. Authors provide a thorough analysis of how climate change impacts trade, investments, and overall GDP in these regions. They also explore a range of strategies to enhance adaptability and resilience, such as diversifying investments, utilizing risk management tools, and implementing policy adaptations. Additionally, the collections highlight the potential of green finance and sustainable investment opportunities, showcasing promising industries and successful climate-conscious initiatives. Emphasizing the need for robust policy frameworks and global collaboration, authors advocate for cooperative efforts and present exemplary methodologies to support emerging countries in their transition towards climate resilience.With practical case studies and innovative perspectives, this work is a valuable resource for investors, CEOs, policymakers, academics, and forward-thinking individuals, providing insights into the challenges and opportunities of achieving sustainability in emerging markets. Climate Risk and Emerging Markets: Valuation, Volatility, and Portfolio Strategies delves into the unique challenges that emerging economies encounter, including the threats posed by rising sea levels and disruptions to agriculture. This item is printed on demand. Shipping may be from multiple locations in the US or from the UK, depending on stock availability.
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Hardcover. Condition: new. Hardcover. As the world grapples with the impacts of climate change, emerging markets are approaching an inflection point. The heightened vulnerability of economic growth, social stability, and ecological integrity due to severe weather and environmental degradation may have far reaching consequences for developing economies. However, these challenges also present significant opportunities for innovation, resilience, and sustained development.Climate Risk and Emerging Markets: Valuation, Volatility, and Portfolio Strategies delves into the unique challenges that emerging economies encounter, including the threats posed by rising sea levels and disruptions to agriculture. Authors provide a thorough analysis of how climate change impacts trade, investments, and overall GDP in these regions. They also explore a range of strategies to enhance adaptability and resilience, such as diversifying investments, utilizing risk management tools, and implementing policy adaptations. Additionally, the collections highlight the potential of green finance and sustainable investment opportunities, showcasing promising industries and successful climate-conscious initiatives. Emphasizing the need for robust policy frameworks and global collaboration, authors advocate for cooperative efforts and present exemplary methodologies to support emerging countries in their transition towards climate resilience.With practical case studies and innovative perspectives, this work is a valuable resource for investors, CEOs, policymakers, academics, and forward-thinking individuals, providing insights into the challenges and opportunities of achieving sustainability in emerging markets. Climate Risk and Emerging Markets: Valuation, Volatility, and Portfolio Strategies delves into the unique challenges that emerging economies encounter, including the threats posed by rising sea levels and disruptions to agriculture. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability.
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Buch. Condition: Neu. Climate Risk and Emerging Markets | Valuation, Volatility, and Portfolio Strategies | Afzalur Rahman | Buch | Einband - fest (Hardcover) | Englisch | 2026 | Emerald Group Publishing Limited | EAN 9781837080892 | Verantwortliche Person für die EU: Libri GmbH, Europaallee 1, 36244 Bad Hersfeld, gpsr[at]libri[dot]de | Anbieter: preigu Print on Demand.
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Hardcover. Condition: new. Hardcover. As the world grapples with the impacts of climate change, emerging markets are approaching an inflection point. The heightened vulnerability of economic growth, social stability, and ecological integrity due to severe weather and environmental degradation may have far reaching consequences for developing economies. However, these challenges also present significant opportunities for innovation, resilience, and sustained development.Climate Risk and Emerging Markets: Valuation, Volatility, and Portfolio Strategies delves into the unique challenges that emerging economies encounter, including the threats posed by rising sea levels and disruptions to agriculture. Authors provide a thorough analysis of how climate change impacts trade, investments, and overall GDP in these regions. They also explore a range of strategies to enhance adaptability and resilience, such as diversifying investments, utilizing risk management tools, and implementing policy adaptations. Additionally, the collections highlight the potential of green finance and sustainable investment opportunities, showcasing promising industries and successful climate-conscious initiatives. Emphasizing the need for robust policy frameworks and global collaboration, authors advocate for cooperative efforts and present exemplary methodologies to support emerging countries in their transition towards climate resilience.With practical case studies and innovative perspectives, this work is a valuable resource for investors, CEOs, policymakers, academics, and forward-thinking individuals, providing insights into the challenges and opportunities of achieving sustainability in emerging markets. Climate Risk and Emerging Markets: Valuation, Volatility, and Portfolio Strategies delves into the unique challenges that emerging economies encounter, including the threats posed by rising sea levels and disruptions to agriculture. This item is printed on demand. Shipping may be from our Sydney, NSW warehouse or from our UK or US warehouse, depending on stock availability.
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Buch. Condition: Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - As the world grapples with the impacts of climate change, emerging markets are approaching an inflection point. The heightened vulnerability of economic growth, social stability, and ecological integrity due to severe weather and environmental degradation may have far reaching consequences for developing economies. However, these challenges also present significant opportunities for innovation, resilience, and sustained development.Climate Risk and Emerging Markets: Valuation, Volatility, and Portfolio Strategies delves into the unique challenges that emerging economies encounter, including the threats posed by rising sea levels and disruptions to agriculture. Authors provide a thorough analysis of how climate change impacts trade, investments, and overall GDP in these regions. They also explore a range of strategies to enhance adaptability and resilience, such as diversifying investments, utilizing risk management tools, and implementing policy adaptations. Additionally, the collections highlight the potential of green finance and sustainable investment opportunities, showcasing promising industries and successful climate-conscious initiatives. Emphasizing the need for robust policy frameworks and global collaboration, authors advocate for cooperative efforts and present exemplary methodologies to support emerging countries in their transition towards climate resilience.With practical case studies and innovative perspectives, this work is a valuable resource for investors, CEOs, policymakers, academics, and forward-thinking individuals, providing insights into the challenges and opportunities of achieving sustainability in emerging markets.
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Published by Springer Verlag GmbH, 2025
ISBN 10: 9819664942 ISBN 13: 9789819664948
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Published by Springer, Berlin, Springer Nature Singapore, Springer, 2025
ISBN 10: 9819664942 ISBN 13: 9789819664948
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Buch. Condition: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -This book explores the intersection of artificial intelligence and sustainable finance, offering a comprehensive analysis of AI's transformative impact on the global financial landscape. It demystifies the complex relationship between AI and sustainability, highlighting the unprecedented opportunities and challenges that arise when these forces converge. Through real-world case studies, cutting-edge research, and expert insights, the book elucidates how AI can drive environmentally conscious decision-making in finance. It discusses how machine learning algorithms, data analytics, and predictive modeling can help integrate environmental, social, and governance (ESG) considerations into investment strategies.Going beyond theory, the book provides actionable guidance for financial professionals, policymakers, and technologists. It emphasizes the need for ethical and responsible AI applications and addresses potential pitfalls and safeguards against unintended consequences. This book serves as a pivotal resource for those interested in harnessing AI's potential in sustainable finance. It offers a roadmap for harmonious coexistence between AI and sustainable finance, contributing to a more resilient and equitable global economy. With its comprehensive analysis and interdisciplinary approach, the book is valuable for scholars, policymakers, practitioners, and general readers seeking to understand and navigate the complex issues surrounding AI and sustainable finance. 331 pp. Englisch.