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Year of publication
Subject
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Anleihe 8,552 Bond 8,233 Theorie 2,413 Theory 2,399 Öffentliche Anleihe 2,236 Public bond 2,235 Zinsstruktur 1,803 Yield curve 1,789 Portfolio-Management 1,482 Portfolio selection 1,473 Rentenmarkt 1,441 Bond market 1,411 Kapitaleinkommen 1,278 Capital income 1,276 Corporate bond 1,238 Unternehmensanleihe 1,238 Risikoprämie 923 Risk premium 917 Nachhaltige Kapitalanlage 841 Sustainable investment 840 Welt 807 World 800 USA 761 United States 721 Kreditrisiko 711 Credit risk 695 Börsenkurs 649 Share price 641 Schätzung 545 Estimation 534 CAPM 508 Risiko 491 Risk 487 Finanzmarkt 486 Financial market 482 Volatilität 417 Volatility 412 EU-Staaten 408 EU countries 406 Zins 401
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Online availability
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Free 3,284 Undetermined 2,239 CC license 205 Digitizable 12
Type of publication
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Article 4,447 Book / Working Paper 4,236 Journal 19
Type of publication (narrower categories)
All
Article in journal 3,822 Aufsatz in Zeitschrift 3,822 Graue Literatur 1,218 Non-commercial literature 1,218 Working Paper 1,136 Arbeitspapier 1,105 Aufsatz im Buch 368 Book section 368 Hochschulschrift 201 Thesis 154 Lehrbuch 70 Textbook 66 Collection of articles of several authors 58 Sammelwerk 58 Conference paper 39 Konferenzbeitrag 39 Dissertation u.a. Prüfungsschriften 37 Bibliografie enthalten 31 Bibliography included 31 Aufsatzsammlung 24 Handbook 22 Handbuch 22 Collection of articles written by one author 21 Sammlung 21 Ratgeber 17 Amtsdruckschrift 16 Government document 16 Glossar enthalten 15 Glossary included 15 Guidebook 11 Konferenzschrift 11 Conference proceedings 9 Bibliografie 7 Article 6 Bibliographie 5 Case study 4 Fallstudie 4 Reprint 4 Amtliche Publikation 3 Diskette 3
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Language
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English 8,009 German 488 Undetermined 112 French 40 Italian 19 Russian 8 Spanish 8 Danish 6 Polish 6 Dutch 5 Portuguese 3 Swedish 2 Arabic 1 Hungarian 1 Norwegian 1
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Author
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Fabozzi, Frank J. 111 Akram, Tanweer 29 Campbell, John Y. 29 Choudhry, Moorad 27 Altman, Edward I. 24 Viceira, Luis M. 24 Caporale, Guglielmo Maria 22 Christensen, Jens H. E. 20 Umar, Zaghum 19 Altavilla, Carlo 18 Ariff, Mohamed 17 Avdjiev, Stefan 17 Lai, Van Son 17 Park, Donghyun 17 Tiwari, Aviral Kumar 17 Abakah, Emmanuel Joel Aikins 16 Gambacorta, Leonardo 16 Goldberg, Linda S. 16 Gubareva, Mariya 16 Hassan, M. Kabir 16 Poterba, James M. 16 Rudebusch, Glenn D. 16 Schiaffi, Stefano 16 Swinkels, Laurens 16 Syed Mabruk Billah 16 Wurgler, Jeffrey 16 Baker, Malcolm 15 Tian, Shu 15 Bekaert, Geert 14 Greenwood, Robin 14 Livingston, Miles 14 Mönch, Emanuel 14 Naeem, Muhammad Abubakr 14 Vo Xuan Vinh 14 Zaghini, Andrea 14 Zhou, Lei 14 Andreasen, Martin Møller 13 Foresi, Silverio 13 Guidolin, Massimo 13 Hale, Galina 13
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Institution
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National Bureau of Economic Research 111 Frank J. Fabozzi Associates <New Hope, Pa.> 12 OECD 10 World Bank 8 European Commission / Directorate-General for Economic and Financial Affairs 7 Asian Development Bank 4 European Central Bank 4 Institut für Schweizerisches Bankwesen <Zürich> 4 International Finance Corporation 4 Springer Fachmedien Wiesbaden 4 Bank für Internationalen Zahlungsausgleich 3 CFA Institute <Charlottesville, Va.> 3 Central Bank of Malta 3 Deutsches Aktieninstitut 3 Ekonomiska forskningsinstitutet <Stockholm> 3 European Commission / Directorate-General for the Budget 3 Paribas Capital Markets Group <London> 3 World Bank Group 3 Association for Investment Management and Research 2 Bank für Internationalen Zahlungsausgleich / Study Group on Fixed Income Markets 2 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 2 Centre for Financial Research <Köln> 2 Department of Commerce and Labor, Bureau of Statistics 2 European Bond Commission 2 European Parliament / Directorate-General for Internal Policies of the Union 2 European Stability Mechanism 2 Europäische Kommission 2 Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart> 2 Foundation for Advanced Information and Research, Japan 2 Frankfurt School of Finance & Management 2 Great Britain / Parliament / House of Commons 2 Hong Kong / Monetary Authority / Research Department 2 Institut for Finansiering <Frederiksberg> 2 International Monetary Fund 2 Leibniz-Institut für Wirtschaftsforschung Halle 2 Malaysia / Suruhanjaya Sekuriti 2 National Centre of Competence in Research - Financial Valuation and Risk Management 2 New York Real Estate Securities Exchange 2 Oesterreichische Nationalbank 2 School of Accounting, Finance and Economics <Perth, Western Australia> 2
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Published in...
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Finance research letters 174 NBER working paper series 111 Journal of banking & finance 100 The journal of fixed income 84 NBER Working Paper 82 Working paper / National Bureau of Economic Research, Inc. 73 Journal of financial economics 67 International review of economics & finance : IREF 60 Energy economics 57 International review of financial analysis 50 Journal of international money and finance 50 Pacific-Basin finance journal 44 Research in international business and finance 44 Management science : journal of the Institute for Operations Research and the Management Sciences 39 The journal of finance : the journal of the American Finance Association 39 Journal of international financial markets, institutions & money 38 Applied economics 35 Economics letters 35 Journal of financial and quantitative analysis : JFQA 34 The review of financial studies 34 The journal of corporate finance : contracting, governance and organization 33 Risks : open access journal 32 Working paper series / European Central Bank 32 Discussion papers / CEPR 30 The North American journal of economics and finance : a journal of financial economics studies 30 Working paper 30 Research paper series / Swiss Finance Institute 29 The handbook of municipal bonds 29 Applied economics letters 28 ECB Working Paper 28 Working papers / Bank for International Settlements 27 Die Bank 26 Journal of empirical finance 26 The European journal of finance 26 Working papers series / Federal Reserve Bank of San Francisco 26 IMF working papers 25 Journal of risk and financial management : JRFM 25 The journal of fixed income : JFI 25 Discussion paper 24 Discussion paper / Centre for Economic Policy Research 23
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Source
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ECONIS (ZBW) 8,445 USB Cologne (EcoSocSci) 171 USB Cologne (business full texts) 41 EconStor 38 RePEc 4 OLC EcoSci 3
Showing 1 - 50 of 8,702
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Institutional ownership and bond pricing : evidence from China
Wang, Yulin; Zhang, Xueying; Walker, Thomas; Liedtke, Gerrit - In: Emerging markets review 70 (2026), pp. 1-18
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Global risk aversion and the term premium gap in emerging market economies
Flaccadoro, Marco; Villa, Stefania - 2026
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Demand disagreement
Heyerdahl-Larsen, Christian; Illeditsch, Philipp - In: Journal of financial economics 175 (2026), pp. 1-16
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The greenness of European green bonds
Galfrascoli, Paola; Monti, Gianna Serafina; Ossola, Elisa - 2025
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Enhancing insurer portfolio resilience and capital efficiency with green bonds : a framework combining dynamic R-vine copulas and tail-risk modeling
Thitivadee Chaiyawat; Pannarat Guayjarernpanishk - In: Risks : open access journal 13 (2025) 9, pp. 1-34
This study develops an integrated risk modeling framework to assess capital adequacy and optimize portfolio performance for Thai life and non-life insurers. Leveraging ARMA-GJR-GARCH models with skewed Student-t innovations, extreme value theory, and dynamic R-vine copulas, the framework...
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Underwater : strategic trading and risk management in bank securities portfolios
Fuster, Andreas; Paligorova, Teodora; Vickery, James - 2025
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The interest rate effects of government debt maturity : solving the bond conundrum
Chadha, Jagjit; Turner, Philip; Zampolli, Fabrizio - In: The world economy : the leading journal on … 48 (2025) 8, pp. 1863-1880
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Green bonds and environmental violations in financially constrained environments
Zhang, Chaoyu - In: International review of economics & finance : IREF 103 (2025), pp. 1-14
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ETFs and the price volatility of underlying bonds
Agapova, Anna; Kaprielyan, Margarita; Volkov, Nikanor - In: The financial review : the official publication of the … 60 (2025) 3, pp. 667-700
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Bond mutual fund performance : evidence from the skill ratio and false discovery rate
Huang, Lifa; Lee, Wayne Y.; Rennie, Craig G. - In: The financial review : the official publication of the … 60 (2025) 3, pp. 865-894
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Assessing financial convergence in developing countries : the case of D-8 countries
Selcuk, Mervan; Asutay, Mehmet - In: Borsa Istanbul Review 25 (2025) 4, pp. 709-721
The European Union's regional integration serves as a model for blocs such as the D-8 Organisation for Economic Cooperation, which aims to enhance financial and economic integration. This study employs wavelet coherence analysis to examine the interrelations between exchange rates, bond yields,...
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Integrated methodology for estimating zero-coupon yield curves : evidence from Turkish government nominal bonds
Paçcı, M. Ünal; Okay, Nesrin - In: Borsa Istanbul Review 25 (2025) 5, pp. 841-851
This study estimates the zero-coupon yield curves for Turkish government nominal bonds from February 2005 to June 2022 using the Nelson-Siegel-Svensson parametric model. We implement a weighting scheme in the objective function, where squared pricing errors are weighted by the inverse of the...
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Building bridges or forging bonds? : exploring the role of social capital in the reception of Ukrainian refugees in Italy
Alfano, Vincenzo; Ercolano, Salvatore; Ippolito, Marzia - In: Journal of regional science 65 (2025) 3, pp. 628-638
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Determinants of domestic sovereign bond yields : fiscal policy and the sovereign-bank Nexus in emerging market and developing economies
Nose, Manabu - 2025
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The sovereign bond issuance and tax competition for portfolio investment
Terai, Kimiko - 2025
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Bond portfolio rebalancing during dash-for-cash events : evidence from the COVID-19 outbreak
Delikouras, Stefanos; Kontinopoulos, Athanasios; … - 2025
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Beyond the rating : how disagreement among ESG agencies affects bond credit spreads
Gu, Ning; Zhao, Xiangyuan; Wang, Mengxuan - In: Risks : open access journal 13 (2025) 10, pp. 1-28
Based on data from Chinese corporate bonds issued between 2014 and 2023, this study examines how ESG rating disagreement affects credit spreads. The results indicate that such disagreement significantly increases spreads through financial risk and information asymmetry channels, though this...
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Firms' bond market access and impact on bank borrowing costs
Thia, Jang Ping; Kong, Xinyu - In: Journal of financial services research 68 (2025) 1, pp. 51-74
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What 200 years of data tell us about the predictive variance of long-term bonds
Della Corte, Pasquale; Gao, Can; Preve, Daniel P. A.; … - 2025
This paper investigates the long-horizon predictive variance of an international bond strategy where a U.S. investor holds unhedged positions in constant-maturity long-term foreign bonds funded at domestic short-term interest rates. Using over two centuries of data from major economies, the...
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What treasury auctions reveal about investor demand
Somogyi, Fabricius; Wallen, Jonathan; Xu, Lingdi - 2025
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Green infrastructure in developing economies : a unique target for risk reduction and financial investment
Lavitt, Tate; Sargeant, Holli - In: Climate policy 25 (2025) 5, pp. 792-805
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Semi-Markov-modulated exponential-affine bond prices
Siu, Tak Kuen; Elliott, Robert J. - In: Quantitative finance 25 (2025) 11, pp. 1813-1829
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Macroeconomic implications of catastrophe bond adoption
Panit Wattanakoon; Wanissa Suanin - 2025
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Islamic Finance and Climate Agenda : From Green Sukuk Innovation to Greener Halal Value Chains
Islamic Development Bank - World Bank - 2025
The report examines the role of Islamic finance in the sustainable and climate finance markets by exploring market trends, instruments, and innovations across the Organization of Islamic Cooperation (OIC) member countries. The report draws on insights from surveys conducted with Islamic finance...
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Financial product prioritization for small-scale wind turbine projects : a novel fuzzy hybrid methodology
Yüksel, Serhat; Eti, Serkan; Dinçer, Hasan; Gökalp, … - In: Financial innovation : FIN 11 (2025), pp. 1-30
Small-scale wind turbines are essential energy sources for hospitals because they have several advantages, such as lower maintenance costs and the possibility of customization. However, small-scale wind energy projects often have high capital requirements. Many factors affect the performance of...
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Green bond, stock, cryptocurrency, and commodity markets : a multiscale analysis and portfolio implications
Kamal, Elham; Bouri, Elie - In: Financial innovation : FIN 11 (2025), pp. 1-33
This paper examines the dependence, systemic risk spillover, return and volatility spillover, and portfolio implications across various timescales between the Green Bond (GB) and U.S. S&P 500 Stock (SP), Vanguard Total World Stock Index Fund (VT), Bitcoin (BTC), Ethereum (ETH), Ripple, OIL, and...
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The sovereign greenium : big promise but small price effect
Panizza, Ugo; Weder, Beatrice; Shi, Shuyang; Gulati, Mitu - 2025
This paper investigates the existence, magnitude and drivers of the sovereign greenium: the yield discount on sovereign and quasi-sovereign green bonds relative to conventional bonds. Using a dataset of 332 matched pairs of green and conventional bonds issued between 2014 and 2023 by sovereigns,...
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What drives the "synchrony" and "asynchrony" between China's stock and bond markets? : An adaptive Lasso-DCC-MIDAS model
Zhang, Feipeng; Zhang, Yilin; Deng, Yang - In: International review of economics & finance : IREF 101 (2025), pp. 1-19
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Predicting the Canadian yield curve using machine learning techniques
Rayeni, Ali; Naderi, Hosein - In: International Journal of Financial Studies : open … 13 (2025) 3, pp. 1-30
This study applies machine learning methods to predict the Canadian yield curve using a comprehensive set of macroeconomic variables. Lagged values of the yield curve and a wide array of Canadian and international macroeconomic variables are utilized across various machine learning models....
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A refracted process in options : a credit valuation application
Clare, Andrew D.; Pinheiro, Carlos Manuel; Pozzolo, … - In: Economics letters 250 (2025), pp. 1-5
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The impact of narrative R&D disclosures on bond issuance spreads of Chinese firms
Liang, Qingwen; Huang, Wan - In: International review of economics & finance : IREF 102 (2025), pp. 1-21
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Green bond issuance and corporate environmental and financial performance : a meta-analysis
Khan, Muhammad Arif; Vismara, Silvio - In: International review of economics & finance : IREF 102 (2025), pp. 1-20
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The Blue Bond proposal
Delpla, Jacques; Weizsäcker, Jakob von - 2025
How can the euro area's return to fiscal sustainability be organised in view of soaring debt levels and the sovereign debt crisis? How can debts be financed efficiently, not least to prevent debt crises in weaker countries where high debt levels compounded by a hike in risk premiums on...
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Tax incentives and the cost of sustainable debt : evidence from Thailand's ESG fund policy
Phanjarat Daengnimvikul; Kanis Saengchote - 2025
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Is financial leanness punished by bond credit rating agencies? : the nonprofit dilemma of balancing trustworthiness and creditworthiness
Sun, Qingqing - In: Public budgeting & finance 45 (2025) 3, pp. 36-73
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Regime-based portfolio optimisation : a hidden Markov model approach for fixed income portfolios
Taljaard, Byran (contributor) - European Stability Mechanism - 2025
This paper presents a methodology for incorporating a regime-based approach to portfolio optimisation, specifically for fixed income portfolios. By segmenting the market into distinct periods or "regimes" characterised by different market conditions, such as high or low volatility, investors can...
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Navigating China's green bonds : insights from cryptocurrency price, oil price, and economic policy uncertainty
Wen, Cui-Ping; Wang, Kai-Hua; Su, Chi-Wei; Li, Xin; … - In: International review of economics & finance : IREF 102 (2025), pp. 1-15
This study examines the impacts of bitcoin price (BTP), crude oil price (COP), and economic policy uncertainty (EPU) on China's green bonds (GBs) in a period from 2014: M10 to 2024: M04 using the quantile autoregressive distributed lag model. Results demonstrate that BTP and EPU positively and...
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Comparison of the asymmetric multifractal behavior of green and U.S. bonds against benchmark financial assets
Kristjanpoller Rodríguez, Werner; Tabak, Benjamin Miranda - In: Financial innovation : FIN 11 (2025), pp. 1-22
Presently, financial portfolio managers lack a solid basis for building a reliable risk management strategy for green debt instrument investments due to the lack of compelling growth and resilience data. Therefore, this study assesses the role of green bonds in financial markets by assessing and...
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Modeling the term structure
Memmel, Christoph; Heckmann, Lotta - 2025
Based on an analysis of changes in the yields of German government bonds, we propose a simple model for the term structure of interest rates and show empirically that this model with two parameters (relating to the interest level and slope of the term structure) fits empirically well the data...
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Examining social impact bonds : an empirical assessment of implementation experiences
Sjöström, Emma - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015492665
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What 200 years of data tell us about the predictive variance of long-term bonds
Della Corte, Pasquale; Gao, Can; Preve, Daniel P. A.; … - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015549715
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Demand-driven bond financing in the euro area
Pegoraro, Stefano; Montagna, Mattia - In: Journal of financial and quantitative analysis : JFQA 60 (2025) 6, pp. 2847-2878
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From domestic power to international subordination : the uses and impact of corporate bond issuance in emerging capitalist economies
Karaçimen, Elif; Rabinovich, Joel - In: Review of international political economy 32 (2025) 5, pp. 1618-1642
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Where the bondholders are : indexes, pension funds, and investor bases in emerging markets
Cormier, Ben - In: Review of international political economy 32 (2025) 6, pp. 2246-2279
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Dynamic responses of Bitcoin, gold, and green bonds to geopolitical risk : a quantile wavelet analysis
Mejri, Sami; Leccadito, Arturo; Yildirim, Ramazan - In: Borsa Istanbul Review 25 (2025) 6, pp. 1183-1207
This study investigates the heterogeneous responses of Bitcoin (BTC), gold (GOLD), and green bonds (GBOND) to geopolitical risk (GPR) shocks across different market regimes and investment horizons. Using a triadic empirical framework that encompasses wavelet quantile-on-quantile regression...
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Sustainable investments : assessment of risks
Omeir, Ahmad Kaab; Štreimikienė, Dalia; … - In: Journal of business economics and management 26 (2025) 3, pp. 576-598
Sustainable investments become a more and more relevant topic in all fields of economics. It is essential to measure both the benefits of sustainable products and risks. This article examines the risks associated with sustainable investments, mainly focusing on green bonds. It highlights...
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Investor networks and social innovation : a stakeholder network analysis of Social Impact Bonds
Del Giudice, Alfonso; Foglia, Matteo; Gianfrancesco, Igor - In: International review of economics & finance : IREF 99 (2025), pp. 1-16
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Is it just green? : Asymmetry behavior of returns in green investments
Ur Rehman, Mobeen; Nautiyal, Neeraj; Vo Xuan Vinh - In: International review of economics & finance : IREF 100 (2025), pp. 1-21
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Do sustainability-linked bonds pay lower interest rates?
Oude Lansink, Alfons G. J. M.; Kapelko, Magdalena - In: Corporate social responsibility and environmental management 32 (2025) 4, pp. 5337-5347
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Developing an enhanced proxy benchmark for the private debt market
Lee, Seung Kul; Kim, Hohyun - In: International Journal of Financial Studies : open … 13 (2025) 3, pp. 1-17
Institutional investors increasingly value alternative assets in strategic asset allocation, with private debt emerging as a key asset class. However, its shortage of market history has hindered the development of standardized proxy benchmarks. For that, many institutional investors still do not...
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