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Financing the Green Transition: The Role of ESG Analytics in Securing Economic Stability for a Viksit Bharat @2047

グリーントランジションの資金調達:Viksit Bharat @2047の経済安定を確保するESGアナリティクスの役割 (AI 翻訳)

C. Sharmila Rao, Aryan Arora, Siya Gherwal, Murad Ul Mustakeem, Yug Sanghvi

Zenodo (CERN European Organization for Nuclear Research)📚 査読済 / ジャーナル2026-05-10#ESG
DOI: 10.5281/zenodo.20110354
原典: https://doi.org/10.5281/zenodo.20110354

🤖 gxceed AI 要約

日本語

本研究は、インドのNifty50企業のデータ(2020-2025年)を用いて、ESGフレームワークの採用が財務パフォーマンス(ROA、市場変動性)に与える影響を分析。環境持続可能性の実践(炭素排出削減、グリーンサプライチェーン)と長期的な財務安定性との間に統計的に有意な正の関係を確認。ESG分析が資本コスト低減と市場ショックへの耐性向上に寄与することを示し、持続可能な実践を戦略的財務必須事項として位置づける。

English

This study analyzes the impact of ESG framework adoption on financial performance (ROA, market volatility) using data from Indian Nifty 50 companies (2020-2025). It finds a statistically significant positive relationship between robust environmental sustainability practices (carbon reduction, green supply chains) and long-term financial stability. ESG analytics contribute to lower capital costs and enhanced resilience to market shocks, positioning sustainable practices as a strategic financial imperative.

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

本論文はインド企業のESGと財務パフォーマンスの関係を分析しており、日本のGX文脈では直接的な関連は薄いが、ESGアナリティクスが財務安定性に寄与するというエビデンスは日本の統合報告や投資家対応にも示唆を与える。特に、日本企業がSSBJ対応や有報でのESG開示を強化する際の参考となる可能性がある。

In the global GX context

This paper provides empirical evidence from an emerging market (India) on the positive link between ESG practices and financial stability, contributing to the global debate on the business case for sustainability. While Japan-specific, the findings reinforce the strategic value of ESG analytics for corporate resilience and can inform disclosure practices under ISSB and CSRD frameworks.

👥 読者別の含意

🔬研究者:Offers empirical evidence on ESG-financial performance relationship in an emerging economy, useful for comparative studies.

🏢実務担当者:Demonstrates how ESG analytics can reduce capital costs and improve resilience, informing corporate strategy and investor communication.

🏛政策担当者:Highlights the role of ESG standards in national development plans, relevant for frameworks like India's BRSR or Japan's SSBJ.

📄 Abstract(原文)

As India accelerates toward its vision of a "Viksit Bharat @2047" (Developed India by 2047), the integration of sustainable development with rapid economic expansion has become paramount. This study investigates the intersection of corporate sustainability and financial performance, specifically analyzing how the adoption of Environmental, Social, and Governance (ESG) frameworks impacts the profitability and risk profiles of Indian corporations. The importance of this research lies in dismantling the traditional paradigm that views eco-friendly operations as a mere compliance cost, instead reframing them as fundamental drivers of long-term value creation. Utilizing secondary financial and ESG score data from top-performing companies listed on the NSE Nifty 50 index (2020–2025), this study applies business analytics and multivariate regression to evaluate the correlation between environmental initiatives and key financial indicators like Return on Assets (ROA) and market volatility. The results indicate a statistically significant positive relationship between robust environmental sustainability practices—such as carbon footprint reduction and green supply chain logistics—and long-term financial stability. Companies leveraging data-driven sustainability models demonstrate lower capital costs and enhanced resilience against market shocks. Ultimately, this paper concludes that integrating sustainable practices is a strategic financial imperative that directly supports Sustainable Development Goals 8 (Decent Work and Economic Growth), 9 (Industry, Innovation, and Infrastructure), and 13 (Climate Action), ensuring that India’s economic growth engine remains both profitable and ecologically viable.

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