gxceed
← 論文一覧に戻る

THE RISE OF ESG (ENVIRONMENTAL, SOCIAL, AND GOVERNANCE) INVESTING IN INDIA: A SECONDARY DATA STUDY

インドにおけるESG(環境・社会・ガバナンス)投資の台頭:二次データ研究 (AI 翻訳)

Debopriyo Nandy

プレプリント2025-07-16#ESG
DOI: 10.5281/zenodo.15971703
原典: https://doi.org/10.5281/zenodo.15971703

🤖 gxceed AI 要約

日本語

本論文はインドにおけるESG投資の急成長を分析。SEBIの規制枠組み、ESGファンドの資産増加、投資家行動の変化を二次データから検証。結果、規制の進展と企業透明性の向上がESG資産増加を牽引していることが示された。機会と課題を考察し、関係者への提言を行う。

English

This paper analyzes the rapid rise of ESG investing in India using secondary data. It examines SEBI's regulatory framework, growth of ESG mutual funds, and shifts in investor behavior. The findings show that regulatory developments and improved corporate transparency are driving the increase in ESG assets under management. The paper discusses opportunities, challenges, and offers recommendations for stakeholders.

Unofficial AI-generated summary based on the public title and abstract. Not an official translation.

📝 gxceed 編集解説 — Why this matters

日本のGX文脈において

インドのESG投資事例は、日本のGX文脈でも参考になる。特にSEBIのBRSR開示義務やESGファンドの成長は、日本のSSBJや統合報告書制度との比較に有用。

In the global GX context

This study of India's ESG investing provides insights for global markets, especially in emerging economies. It highlights the role of regulatory push (SEBI's BRSR) and retail investor interest in sustainable finance, which can inform global disclosure and transition finance discussions.

👥 読者別の含意

🔬研究者:Researchers studying ESG investing in emerging markets can use this secondary data analysis as a reference for India's market structure.

🏢実務担当者:Corporate sustainability teams considering India market entry can understand the regulatory landscape and investor expectations.

🏛政策担当者:Policymakers in other developing countries can learn from India's SEBI regulatory approach to ESG disclosure and fund classification.

📄 Abstract(原文)

Abstract: This paper looks at the emergence and rapid growth of ESG (Environmental, Social and Governance) investing in India. Drawing upon comprehensive analysis of existing data, this study examines the growth trajectories of ESG-focused mutual funds, the regulatory framework established by SEBI, and shifts in investor behaviour. Drawing on authoritative sources such as SEBI reports, NPCI, IBEF, and reputable financial news outlets, the study compiles credible data. The results indicate a marked increase in ESG assets under management, primarily driven by regulatory developments, enhanced corporate transparency, and heightened interest from retail investors. The paper examines the main opportunities and challenges associated with ESG investing in India and offers practical recommendations for relevant stakeholders. Keywords: Environmental, Social, and Governance (ESG), ESG Investing, Sustainable Finance, India, Mutual Funds, SEBI Regulations, ESG Disclosure, Business Responsibility and Sustainability Reporting (BRSR), ESG Debt Instruments, Green Investments, Retail Investors, Corporate Governance, Financial Markets, Responsible Investing, Secondary Data Analysis. Title: THE RISE OF ESG (ENVIRONMENTAL, SOCIAL, AND GOVERNANCE) INVESTING IN INDIA: A SECONDARY DATA STUDY Author: Debopriyo Nandy International Journal of Management and Commerce Innovations  ISSN 2348-7585 (Online) Vol. 13, Issue 1, April 2025 - September 2025 Page No: 292-300 Research Publish Journals Website: www.researchpublish.com Published Date: 16-July-2025 DOI: https://doi.org/10.5281/zenodo.15971705 Paper Download Link (Source) https://www.researchpublish.com/papers/analysis-of-market-integration-and-price-transmission-of-garlic-in-west-nusa-tenggara-province

🔗 Provenance — このレコードを発見したソース

🔔 こうした論文の新着を逃したくない方は キーワードアラート に登録(無料・3キーワードまで)。

gxceed は公開メタデータに基づく研究支援データセットです。要約・翻訳・解説は AI 支援で生成されています。 最終的な解釈・検証は利用者が原典資料に基づいて行うことを前提とします。