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Keywords: M14
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Journal Articles
Asymmetric impact of ESG performance on systematic risk: exploring beta plus and beta minus dynamics
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2026) 27 (2): 303–328.
Published: 03 March 2026
...- G32 Q56 M10 M14 M21 Fundação para a Ciência e Tecnologia UIDB/04007/2020 http://dx.doi.org/10.13039/501100001871 Funding: This work was supported by Fundação para a Ciência e a Tecnologia (award id: UIDB/04007/2020). Systematic risk, often measured by Beta, has been...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2026) 27 (1): 108–131.
Published: 23 January 2026
... of both asset sales and CSR in modern corporate strategy creates complex strategic trade-offs that remain poorly understood. Asset sales CSR Financial distress Moderating proxy C18 E44 G11 G32 G33 M14 The motivation for this study arises from three key gaps in the existing...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2024) 25 (3): 385–406.
Published: 26 March 2024
... only Conventional banks Islamic banks Dividend policy Gender diversity CEO profile Board of director Ownership structure G34 G35 M14 G21 The issue of gender diversity of board members gets an increasingly growing attention of the scientific community. Bernile et...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2022) 23 (1): 1–13.
Published: 14 December 2021
... Emerald Publishing Limited 2021 Emerald Publishing Limited Licensed re-use rights only ESG ratings International equity markets Investor base Price pressure hypothesis Socially responsible investments' growth G12 G15 M14 During the twenty-first century, the financial management...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2019) 20 (5): 542–555.
Published: 22 October 2019
... portfolio optionality Risk-mitigation hypothesis G32 M14 The assumption of many asset managers, that a responsible investment approach would negatively affect the investment performance due to the reduced investment universe, leads to the fear of violating of the fiduciary duty to maximize...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2018) 19 (4): 396–412.
Published: 20 August 2018
... employees are likely to take risks beyond the preferred level. This finding is surprising, as risk preferences are inherent in everyone and applied continuously and thus difficult to be influenced by firms. Tournament Risk taking Code of conduct Justification Risk behaviour M14 M41 M50...
