Behavioural Finance and Ethical Investing
Document Type
Book
Publication Date
1-1-2026
Abstract
Contextualising the effective and ineffective approaches to Environmental, Social, and Governance (ESG) implementation across the globe from a behavioural finance perspective, this book covers a range of considerations that must be made when firms choose the sustainable path. This book begins with a critical examination of ESG investing and assumption that they consistently deliver superior financial returns. It then explores how cognitive distortions, incorrect information, and technological innovations may impact ethically motivated investors, leading them to make choices that are behaviourally vulnerable if not irrational. This book looks at established and emerging markets in diverse regions such as Asia, Europe, and the United States to discuss prevailing market narratives that may influence investor decisions. It also presents empirical insights from 400 survey respondents and 50 interview participants in emerging markets, highlighting how investment thinking continues to be shaped by local norms and environments. This book highlights the importance of context-specific engagement and provides practical suggestions on how to promote more rational ESG investing. This book will be of use to courses on behavioural finance, sustainable investing, and ESG in Finance.
Keywords
Behavioural finances, Emerging markets, Finance perspective, Financial returns, Local environments, Local norm, Technological innovation
Publication Title
Behavioural Finance and Ethical Investing
DOI
10.4324/9781003683186
Recommended Citation
Ooi, Kok Loang and Lau, Wee Yeap, "Behavioural Finance and Ethical Investing" (2026). Research Publications (2026 to 2030). 54.
https://knova.um.edu.my/research_publications_2026_2030/54
First Page
1
Last Page
208
Publisher
Taylor and Francis
ISBN
9781003683186 (ebook)