ESG factors and risk-adjusted performance : a new quantitative model
Year of publication: |
October 2016
|
---|---|
Authors: | Ashwin Kumar, N. C. ; Smith, Camille ; Badis, Leïla ; Wang, Nan ; Ambrosy, Paz ; Tavares, Rodrigo |
Published in: |
Journal of sustainable finance & investment. - Abingdon : Routledge, ISSN 2043-0795, ZDB-ID 2636662-9. - Vol. 6.2016, 4, p. 292-300
|
Subject: | Corporate responsibility | ESG | responsible investment | social finance | Corporate Social Responsibility | Corporate social responsibility | Nachhaltige Kapitalanlage | Sustainable investment | Portfolio-Management | Portfolio selection |
-
Responsible Investment : An Insider's Account of What's Working, What's Not and Where Next
Martindale, Will, (2023)
-
Opening the market for impact investments : the need for adapted portfolio tools
Brandstetter, Lisa, (2015)
-
Xie, Jun, (2023)
- More ...
-
Stevenson, Brian, (2023)
-
Contribution of macro-regions to the construction of peace: a framework for analysis
Tavares, Rodrigo, (2004)
-
Regional economic integration in Africa : impediments to progress?
Tavares, Rodrigo, (2013)
- More ...