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- 2020
- The Effect of Natural Catastrophes on the Secondary CAT Bond Market (
- The effect of ESG Rating on Credit Rating for Firms of Real Estate (
- Implications of Green Bond Issue Announcements on Equity Prices (
- Does Quality Matter? (
- The Incorporation of ESG Scores into Factor based Investment Decisions. Does ESG Integration necessarily come with a Financial Trade-off? (
- Do Environmental Portfolios Pay? Risk and return of environmentally friendly investment portfolios (
- ESG Performance in Exchange Traded Funds (ETFs) and Fixed Income in the Context of Home Bias (
- Quality's relationship to the idiosyncratic volatility puzzle (
- A Green Sensibility? Examining the Issuance of Green Bonds in the Nordic Region. (
- The Effects of Equal Weighting and Rebalancing on Portfolio Performance (
- 2019
- Co-movements between Renewable Energy, Oil & Gas, and Technology in Europe: Implications for Investment Decisions (
- Do ESG scores matter in the market?: Environmental, Social and Governance performance in relation to stock returns and profitability in European Market (
- Neighbours, but yet different? Scandinavian stock market volatility and its drivers under different regimes. A GARCH-MIDAS approach (
- ESG Portfolios and Stock Returns: An analysis of ESGs effect on financial performance (
- Environmental, social and governance composite ratings and stock performance (