Description

Book Synopsis
Proven methods for successfully serving clients who prioritize investments that help improve the world while generating healthy profits

Environmental, social, and corporate governance (ESG) is big, and itâs getting bigger. An entire generation of investors want their investments to reflect their values. If you have clients in this category, you need to read Investing for Better, which reveals the inherent challenge this style of investing poses.

ESG pioneer and seasoned asset manager, Daniel Seiler maps out the current state of the global asset management industry and outlines the primal forces that influence the business of money management. He proposes a new model of asset management that combines vision and purpose by prioritizing: 

â  Reduction of the costs of investing
â  Refinement of mechanisms to share risk 
â  Minimization of information asymmetries 
â  Responsiveness to changing investor and societ

Investing for Better Harnessing the Four Driving

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    Order before 4pm today for delivery by Wed 5 Aug 2026.

    A Hardback by Daniel Seiler

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      View other formats and editions of Investing for Better Harnessing the Four Driving by Daniel Seiler

      Publisher: McGraw-Hill Education
      Publication Date: Publication Date: 01/11/2024
      ISBN13: 9781265066918, 978-1265066918
      ISBN10: 1265066914

      Description

      Book Synopsis
      Proven methods for successfully serving clients who prioritize investments that help improve the world while generating healthy profits

      Environmental, social, and corporate governance (ESG) is big, and itâs getting bigger. An entire generation of investors want their investments to reflect their values. If you have clients in this category, you need to read Investing for Better, which reveals the inherent challenge this style of investing poses.

      ESG pioneer and seasoned asset manager, Daniel Seiler maps out the current state of the global asset management industry and outlines the primal forces that influence the business of money management. He proposes a new model of asset management that combines vision and purpose by prioritizing: 

      â  Reduction of the costs of investing
      â  Refinement of mechanisms to share risk 
      â  Minimization of information asymmetries 
      â  Responsiveness to changing investor and societ

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