INVESTOR BEHAVIOR ON ENVIROMENTAL, SOCIAL, AND GOVERNANCE INVESTMENT TOWARDS SAUDI VISION 2030

Kindly find attached my paper that should be rewritten according to the updated research objectives. The paper needs to be rewritten in some parts….first of all the old objectives and questions has been removed and updated to new ones which can be found in the attached document so it has to be reflected in the rest of the paper. Secondly the new independent variables are heuristic factors, prospect factors, and stock market anomalies. The dependent variable is the investment decision towards Saudi vision 2030. The moderate variable is the COVID -19 pandemic. Regarding ESG investment kindly find attached two other documents for your reference. The volume of ESG rated stocks in Saudi exchange (Tadawul) will be examined so not only the sectors that is mentioned in the paper.

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