ESGの業績と金融の安定性:CEOの特性の抑制効果
Dongdong Wu1, Zixuan Song2, Shanyue Jin1
1College of Business, Gachon University, Republic of Korea.
Journal of environmental management
|August 21, 2025
まとめ
企業の環境・社会・ガバナンス (ESG) のパフォーマンスは,金融の安定性を著しく高めています. 報酬や過度の自信などのCEOの特徴は,このポジティブな関係に影響し,企業の持続可能性戦略に影響します.
科学分野:
- 企業金融
- 持続可能な開発
- ビジネス エシック
背景:
- 環境・社会・ガバナンス (ESG) 基準は,企業の運営と投資においてますます重要になっています.
- 経営責任者 (CEO) は,企業の経営と意思決定において中心的な人物です.
- ESG,金融の安定性,CEOの特徴の相互作用を理解することは,持続可能なビジネス慣行にとって極めて重要です.
研究 の 目的:
- 企業のESGパフォーマンスが金融安定に与える影響を調査する.
- CEOの特徴がESGパフォーマンスと金融安定の関係をどのように調整するか分析する.
- 経営者行動の観点からESGが企業の金融安定に影響を与えるメカニズムを探求する.
主な方法:
- 固定効果モデルと頑丈性テストを使用した.
- 2010年から2023年までの中国A株上場企業
- CEOの特徴 (報酬,過度の自信,政治的つながり) の調節する役割を検討した.
主要な成果:
- 企業のESGパフォーマンスは,金融の安定性に大きな効果を示しています.
- CEOの特徴は,ESGと金融リスクの関連性を緩和していることが判明しました.
- エグゼクティブの行動特性はESGと金融の安定性において重要な役割を果たします.
結論:
- ESGのパフォーマンスは,経営陣の特徴によって支えられ,企業の金融安定性を高めます.
- 企業の持続可能な発展を理論的に裏付け,投資家の意思決定を参考にします.
- 政策立案者がESG規制を策定する際の 経験的証拠を提示しています
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