All Academic blog articles – Page 3
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BlogsExporting pollution: where do multinational firms release Co2?
By Itzhak Ben-David: Fisher College of Business, The Ohio State University, and NBER, Yeejin Jang: School of Banking and Finance, University of New South Wales, Stefanie Kleimeier: School of Business and Economics, Maastricht University, Faculty of Management, Open Universiteit, and University of Stellenbosch Business School, and Michael Viehs: Smith School ...
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BlogsAssessing climate risks in investors’ portfolios: a journey through climate stress-testing
By Irene Monasterolo, Assistant Professor of Climate Economics and Finance, Vienna University of Economics and Business
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BlogsCan State-Owned Enterprises play a role in global environmental engagement?
By Po-Hsuan Hsu, National Tsing Hua University, Hao Liang, Singapore Management University and Pedro Matos, University of Virginia – Darden School of Business
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BlogsTalking about the weather: understanding household demand for green investment
By Anders Anderson, Executive Director, Swedish House of Finance and David Robinson, Professor of Finance at Fuqua School of Business, Duke University
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BlogsFinancial markets and decarbonisation
By Ralph De Haas, Director of Research, EBRD and Alexander Popov, Principal Economist, ECB
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BlogsTo disclose or not to disclose: the preferences of institutional investors
Emirhan Ilhan, Frankfurt School of Finance Management; Philipp Krueger, University of Geneva and Swiss Finance Institute; Zacharias Sautner, Frankfurt School of Finance Management; and Laura T. Starks, University of Texas at Austin
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BlogsWhen investors call for climate responsibility, how do mutual funds respond?
By Marco Ceccarelli, University of Zurich - Department of Banking and Finance; Swiss Finance Institute; Stefano Ramelli, University of Zurich - Department of Banking and Finance; and Alexander F. Wagner, University of Zurich - Department of Banking and Finance; Centre for Economic Policy Research (CEPR); European Corporate Governance Institute (ECGI); ...
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BlogsShareholder activism and firms’ disclosure of their exposure to climate change risks
By Caroline Flammer, Associate Professor, Boston University
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BlogsSteering and rowing: the French approach to responsible investment
By Stéphanie Giamporcaro, Nottingham Trent University, University of Cape Town; Jean-Pascal Gond, City, University of London; Niamh O’Sullivan, University of Nottingham
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BlogsModernising modern portfolio theory
By Jim Hawley, Head of Applied Research at Truvalue Labs and Professor Emeritus, Saint Mary’s College of California, and Jon Lukomnik, former Executive Director, IRCC Institute, and soon to be Visiting Professor, Judge Business School, University of Cambridge
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