Employing behavioural portfolio theory for sustainable investment: Examining drawdown risks and ESG factors
(2024)
Journal Article
Poddara, A., Bhattacharya, S., & Bhatt, R. (online). Employing behavioural portfolio theory for sustainable investment: Examining drawdown risks and ESG factors. Investment Analysts Journal, https://doi.org/10.1080/10293523.2024.2375818
This study uses behavioural portfolio theory (BPT) within the Markowitz Portfolio Theory framework to enhance portfolio management by focusing on sustainability and risk mitigation during market downturns. It selects portfolios to hedge against marke... Read More about Employing behavioural portfolio theory for sustainable investment: Examining drawdown risks and ESG factors.