1. Introduction 1.1 Background of Sustainable Finance 1.2 Purpose of the Study 1.3 Research Objectives 1.4 Structure of the Paper 2. Concept of Sustainable Finance 2.1 Definition and Scope 2.2 Historical Development 2.3 Key Principles and Criteria 3. Global Financial Markets Overview 3.1 Structure and Function 3.2 Major Players and Instruments 3.3 Recent Trends and Developments 4. Investment Strategies in Finance 4.1 Traditional Investment Approaches 4.2 Modern Portfolio Theory 4.3 Risk Management Techniques 5. Impact of Sustainable Finance 5.1 Positive Effects on Investment Strategies 5.2 Challenges and Limitations 5.3 Case Studies and Examples 6. Integration into Investment Processes 6.1 ESG Criteria in Portfolio Management 6.2 Sustainable Financial Products 6.3 Role of Technology and Data 7. Comparative Analysis 7.1 Regional Differences 7.2 Sectoral Impacts 7.3 Long-term vs Short-term Effects 8. Conclusion and Future Outlook 8.1 Summary of Findings 8.2 Implications for Stakeholders 8.3 Directions for Future Research
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