Fuzzy Business Models and Esg Risk: Offering a Sustainable Perspective on Companies and Financial Institutions
暫譯: 模糊商業模式與ESG風險:為企業與金融機構提供可持續的視角
Ziolo, Magdalena
- 出版商: Palgrave MacMillan
- 出版日期: 2024-10-14
- 售價: $7,800
- 貴賓價: 9.5 折 $7,410
- 語言: 英文
- 頁數: 153
- 裝訂: Quality Paper - also called trade paper
- ISBN: 3031405773
- ISBN-13: 9783031405778
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商品描述
This book discusses fuzzy business models and focuses on using fuzzy logic in business processes from the perspective of financial institutions when integrating ESG factors and risk. Developing and examining sustainable business models requires an appropriate methodology that would consider the specificity of business models because the measurement of this phenomenon is often based on values from specific ranges and requires a fuzzy approach. According to the law, regulations, and recommendations, financial institutions and businesses must incorporate Environmental Social Governance factors and ESG risk in their decision-making process. Sustainable financial institutions include ESG risk in their risk management system, strategies, and policies. As a result, they hope to mitigate ESG risk and create sustainable value in their business models with an impact on sustainable value creation. This book discusses this phenomenon in detail.
One of the first on the market toaddress the issue of fuzzy business models, the book also deals comprehensively with the fuzzy logic in modeling business processes, decision-making processes, and business models using examples from financial institutions, and will be of interest to researchers, professors, and students of sustainable finance, banking, and sustainable development alongside corporate sustainability.
商品描述(中文翻譯)
本書探討模糊商業模型,並專注於從金融機構的角度在整合環境、社會及公司治理(ESG)因素和風險時,如何在商業流程中運用模糊邏輯。發展和檢視可持續商業模型需要一種適當的方法論,因為這一現象的測量通常基於特定範圍內的數值,並且需要採用模糊的方法。根據法律、法規和建議,金融機構和企業必須在其決策過程中納入環境社會治理(ESG)因素和ESG風險。可持續的金融機構在其風險管理系統、策略和政策中納入ESG風險。因此,他們希望減輕ESG風險,並在其商業模型中創造可持續價值,對可持續價值創造產生影響。本書詳細討論了這一現象。
作為市場上首批針對模糊商業模型問題的書籍之一,本書還全面探討了在商業流程、決策過程和商業模型中運用模糊邏輯,並以金融機構的實例進行說明,將對可持續金融、銀行業和可持續發展以及企業可持續性研究者、教授和學生產生興趣。
作者簡介
Magdalena Ziolo is Full Professor at University of Szczecin, Poland. Her research and teaching scope focus on finance, banking and sustainability. She has extensive experience gained in financial institutions. She has received scholarships from the Dekaban-Liddle Foundation (University of Glasgow, Scotland) and Impakt Asia Erasmus + (Ulan Bator, Mongolia). She is a Member of Polish Accreditation Commission, Member of the Financial Sciences Committee of PAS (the Polish Academy of Sciences), Member of the Advisory Scientific Committee of the Financial Ombudsman, Expert of the National Centre for Research and Development, Expert of the National Science Centre and the National Agency for Academic Exchange, Expert of the Accreditation Agency of Curacao. She was a member of State Quality Council, Kosovo Accreditation Agency and visiting professor of University of Prishtina (Kosovo). She is Principal Investigator in the research projects funded by National Science Center, Poland in the field sustainable finance. She is the author and editor of numerous books, mostly about financing sustainable development.
作者簡介(中文翻譯)
瑪格達萊娜·齊奧洛是波蘭什切青大學的全職教授。她的研究和教學範圍專注於金融、銀行和可持續性。她在金融機構擁有豐富的經驗。她曾獲得德卡班-利德爾基金會(蘇格蘭格拉斯哥大學)和亞洲影響力Erasmus +(蒙古烏蘭巴托)的獎學金。她是波蘭認證委員會的成員、波蘭科學院金融科學委員會的成員、金融申訴專員的科學諮詢委員會成員、國家研究與發展中心的專家、國家科學中心和國家學術交流機構的專家,以及庫拉索認證機構的專家。她曾是科索沃國家質量委員會的成員、科索沃認證機構的成員,並擔任科索沃普里什蒂納大學的客座教授。她是由波蘭國家科學中心資助的可持續金融領域研究項目的首席研究員。她是多本書籍的作者和編輯,主要涉及可持續發展的融資。