Quelle place pour l'investissement socialement responsable dans le secteur bancaire belge à l'horizon 2030 ? Focus sur les investisseurs particuliers
Nijskens, Robin
Promotor(s) : Xhauflair, Virginie
Date of defense : 4-Sep-2017/11-Sep-2017 • Permalink : http://hdl.handle.net/2268.2/3586
Details
Title : | Quelle place pour l'investissement socialement responsable dans le secteur bancaire belge à l'horizon 2030 ? Focus sur les investisseurs particuliers |
Author : | Nijskens, Robin |
Date of defense : | 4-Sep-2017/11-Sep-2017 |
Advisor(s) : | Xhauflair, Virginie |
Committee's member(s) : | Fays, Boris
Boussaid, Nabila |
Language : | French |
Number of pages : | 74 |
Keywords : | [fr] ISR, marché belge, secteur bancaire |
Discipline(s) : | Business & economic sciences > Finance |
Institution(s) : | Université de Liège, Liège, Belgique |
Degree: | Master en sciences de gestion, à finalité spécialisée en Banking and Asset Management |
Faculty: | Master thesis of the HEC-Ecole de gestion de l'Université de Liège |
Abstract
[en] Socially responsible investments (SRI) have become increasingly popular these last years in the banking sector. However, it is still quite difficult to determine what this market will look like in the future and which are the major issues that will impact it.
The purpose of this study is to focus on retail investors and provide a clearer view of what the Belgian SRI banking market will look like by 2030. To that end, we will attempt to provide answers to questions such as: How is the Belgian SRI banking market going to evolve in the future? Which investors are typically going to be interested in SRI? What are the main challenges that the market faces?
In order to conduct this research, we firstly carried out an inventory of scientific researches that had been made on the topic in order to provide a better understanding of the subject and to formulate assumptions based on this literature review. Then, we interviewed several experts related to the Belgian SRI market in order to link the information gathered during this qualitative approach with the previously formulated assumptions. Finally, we highlighted some issues and trends with a view of providing several managerial recommendations for the Belgian banking sector.
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