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18. Dynamic Risk Management in Social Finance

  • 2025
  • OriginalPaper
  • Chapter
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Abstract

Dynamic Risk Management in Social Finance delves into the complexities of balancing financial returns with positive social change. The chapter explores the unique challenges of measuring social impact, the role of learning in social finance, and the importance of adaptive strategies in managing risk. It introduces a framework that integrates social and financial outcomes, highlighting the dynamic nature of social systems and the need for governance systems that can handle contested priorities. The text also discusses the implications of different scaling strategies and the importance of incorporating beneficiary perspectives into investment strategies. By examining the interplay between social and financial risks, the chapter provides valuable insights into the evolving landscape of social finance and the tools needed to navigate it effectively.

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Title
Dynamic Risk Management in Social Finance
Author
Sean Geobey
Copyright Year
2025
DOI
https://doi.org/10.1007/978-3-031-99906-2_18
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