ESG投资

Climate change the ‘most common’ reason for portfolio exclusion
气候变化是企业被排除在投资组合之外的“最常见”原因

Research shows continuing effect on investment decisions, despite a pushback against ‘woke’ capitalism
研究表明,尽管“觉醒”资本主义遭到反对,但对投资决策的影响仍在持续。

Concern about climate change is the most common reason for financial groups to exclude companies from their portfolios, according to research that underlines how the phenomenon continues to affect investment decisions despite a pushback against “woke” capitalism. 

一项研究表明,尽管“觉醒”资本主义受到反对,但对气候变化的担忧仍是金融集团将公司排除在投资组合之外的最常见原因。

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