) have measure to control and manage risks associated with business operation; (4) have effective measure on internal control with respect to business operation; (5) have operational system promptly for
Administration, SEC Working Paper Forum May 28, 2015 1 Topics of Presentation 2 Introduction and literature reviews How to measure return and volatility spillovers Empirical estimation of return and volatility
si ve A ct iv e Investment performance can be attributed from many sources. How to measure active degree of the portfolio? BenchmarkFund 1 Stock X ,Y,Z =30 % Active share Sources: Cremers and Petajisto
, who are capable and have experiences beneficial to business operation; (3) have measure to control and manage risks associated with business operation; (4) have effective measure on internal control
same listed company if one of the persons has already submitted a report to the SEC. The measure aims to streamline reporting procedures and reduce redundancy; 3) Further clarifying the reporting
account for delivery over time according to relevant mandates. These issues are discussed in the ICGN’s Model Mandate Initiative (2012). Institutional investors should periodically measure and review the
global debt capital markets can play in financing progress towards environmental and social sustainability. The Principles outline best practices when issuing bonds serving social and/or environmental
among the top 100 for outstanding ESG performance in terms of environmental, social and governance (ESG 100) of 2018 by Thaipat Institute for the fourth consecutive year and also the company’s securities
among the top 100 for outstanding ESG performance in terms of environmental, social and governance (ESG 100) of 2018 by Thaipat Institute for the fourth consecutive year and also the company’s securities
Company Limited is ranked among the top 100 for outstanding ESG performance in terms of environmental, social and governance (ESG 100) of 2019 by Thaipat Institute for the fifth consecutive year and also