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Crisis-proofing real estate: ESG and downside risk resilience in European market shocks. Measuring impact for "BPI Impacto Clima" funds

datacite.subject.fosCiências Sociais::Economia e Gestãopt_PT
dc.contributor.advisorOttonello, Giorgio
dc.contributor.authorProvoost, Mathieu Arnaud Laurent
dc.date.accessioned2025-09-03T15:00:46Z
dc.date.embargo2028-06-24
dc.date.issued2025-06-24
dc.date.submitted2025-05-30
dc.description.abstractThis thesis examines whether stronger ESG performance strengthened downside resilience in European listed real‐estate firms during two severe shocks, namely the Q1 2020’s COVID‐19 sell‐off and Q3 2022’s energy crisis. Leveraging Refinitiv ESG scores, daily price and volume data, and quarterly financials for 16 firms across varied regulatory stringency, we calculate maximum drawdown, realized volatility, and Sharpe ratios. Cross‐sectional and fixed‐effects regressions reveal no significant ESG impact on drawdown or volatility and a marginal negative crisis‐period Sharpe effect. These findings imply that ESG alone does not ensure crisis resilience, highlighting the need to integrate sustainability metrics with traditional risk‐ management tools.pt_PT
dc.identifier.tid203991281pt_PT
dc.identifier.urihttp://hdl.handle.net/10362/187465
dc.language.isoengpt_PT
dc.relationUID/ECO/00124/2013pt_PT
dc.subjectReal Estate investmentspt_PT
dc.subjectDownside risk resiliencept_PT
dc.subjectEU regulationpt_PT
dc.subjectESG integrationpt_PT
dc.subjectCEMS MIMpt_PT
dc.titleCrisis-proofing real estate: ESG and downside risk resilience in European market shocks. Measuring impact for "BPI Impacto Clima" fundspt_PT
dc.typemaster thesis
dspace.entity.typePublication
rcaap.rightsembargoedAccesspt_PT
rcaap.typemasterThesispt_PT
thesis.degree.nameA Work Project presented as part of the requirements for the Award of a Master’s Degree in Finance from the Nova School of Business and Economicspt_PT

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