All Stories

  1. Integration of the international carbon market: A time-varying analysis
  2. The finance perspective on fossil fuel divestment
  3. The art of valuation: Using visual analysis to price classical paintings by Swedish Masters
  4. Leveraging keystone agents in extractive industries to advance sustainability
  5. Public Financial Institutions and Climate Change
  6. Competition and bank dividends
  7. Catalyzing the transformation to sustainable finance
  8. Rebalancing climate finance: Analysing multilateral development banks' allocation practices
  9. External carbon costs and internal carbon pricing
  10. Unlocking the unsustainable rice-wheat system of Indian Punjab: Assessing alternatives to crop-residue burning from a systems perspective
  11. Carbon Intensity and the Cost of Equity Capital
  12. Movers and Shakers: Stock Market Response to Induced Seismicity in Oil and Gas Business
  13. Shareholders and the environment: a review of four decades of academic research
  14. Shocks, stocks and ratings: The financial community response to global environmental and health controversies
  15. A meta-analysis of the relationship between companies’ greenhouse gas emissions and financial performance
  16. Impact investments: a call for (re)orientation
  17. An Efficiency Perspective on Carbon Emissions and Financial Performance
  18. The financial impact of fossil fuel divestment
  19. Shocks and fish stocks: The effect of disasters and policy announcements on listed fishing companies' market value
  20. Deposit Insurance and Bank Dividend Policy
  21. Does bank capitalization matter for bank stock returns?
  22. Under his thumb the effect of president Donald Trump’s Twitter messages on the US stock market
  23. Accounting and accountability in the Anthropocene
  24. Environmental Responsibility
  25. Leverage points in the financial sector for seafood sustainability
  26. Sustainability and bank risk
  27. The power of friends and neighbors: a review of community energy research
  28. Responsibility and Performance Relationship in the Banking Industry
  29. Sovereign bond yield spreads and sustainability: An empirical analysis of OECD countries
  30. Sudden stops of international fund flows: Occurrence and magnitude
  31. Finance and the Earth system – Exploring the links between financial actors and non-linear changes in the climate system
  32. The Spot-Forward Relationship in the Atlantic Salmon Market
  33. Sustainable Business Practices—An Environmental Economics Perspective
  34. Comparing active and passive socially responsible US investment funds.
  35. Surges of international fund flows
  36. Fossil Fuel Divestment and Portfolio Performance
  37. CEO risk-taking incentives and socially irresponsible activities
  38. Cyclical behavior of international fund flows
  39. Bank Capitalization and the Cross-Section of Bank Stock Returns
  40. Impact of the Dodd-Frank Act on Systemic Risk: A Counterfactual Analysis
  41. Correction to: The Opportunity Cost of Negative Screening in Socially Responsible Investing
  42. Are International Fund Flows Related to Exchange Rate Dynamics?
  43. Investor response to appointment of female CEOs and CFOs
  44. Cross-border investment expenditure spillovers in European gas infrastructure
  45. Why Finance Should Care about Ecology
  46. Corporate Social Responsibility and Shareholder Proposals
  47. Modular evaluation method for subsurface activities (MEMSA). A novel approach for integrating social acceptance in a permit decision-making process for subsurface activities
  48. European Pension Funds and Sustainable Development: Trade-Offs between Finance and Responsibility
  49. Analysing Systemic Risk in the Chinese Banking System
  50. Corrigendum to ‘A plant-level analysis of the spill-over effects of the German Energiewende’ [Appl. Energy 183 (2016) 1259–1271]
  51. Environmental and Financial Performance of Fossil Fuel Firms: A Closer Inspection of their Interaction
  52. A plant-level analysis of the spill-over effects of the German Energiewende
  53. Financing energy transformation: The role of renewable energy equity indices
  54. Subsurface activities and decision support systems
  55. Firm Type, Feed-in Tariff, and Wind Energy Investment in Germany: An Investigation of Decision Making Factors of Energy Producers Regarding Investing in Wind Energy Capacity
  56. Challenging obduracy: How local communities transform the energy system
  57. A comparison of cost-benefit analysis of biomass and natural gas CHP projects in Denmark and the Netherlands
  58. The Effects of Corporate and Country Sustainability Characteristics on The Cost of Debt: An International Investigation
  59. The Financial Impact of Terrorist Attacks on the Value of the Oil and Gas Industry: An International Review
  60. Distributed energy generation techniques and the competitive fringe effect in electricity markets
  61. Toward a theory of responsible investing: On the economic foundations of corporate social responsibility
  62. The Opportunity Cost of Negative Screening in Socially Responsible Investing
  63. An empirical analysis of excess interbank liquidity: a case study of Pakistan
  64. ESG Integration and the Investment Management Process: Fundamental Investing Reinvented
  65. Power to the people: Local community initiatives and the transition to sustainable energy
  66. Energy Innovations and the Economy: An Historical Overview
  67. Energy Technology and Valuation Issues
  68. Carbon prices and firms' financial performance: an industry perspective
  69. The relationship between European electricity markets and emission allowance futures prices in phase II of the EU (European Union) emission trading scheme
  70. Are international fund flows pro- or counter-cyclical?
  71. Modeling natural gas price volatility: The case of the UK gas market
  72. Testing uncovered interest rate parity using LIBOR
  73. Leading Indicators of Currency Crises: Are They the Same in Different Exchange Rate Regimes?
  74. Sudden Stops and Currency Crashes
  75. Not Under Our Back Yards? A case study of social acceptance of the Northern Netherlands CCS initiative
  76. Indicators of responsible investing
  77. Measuring Risk in Energy Markets
  78. Designing a Decision Support System for Subsurface Activities.
  79. The impact of renewable energy on electricity prices in the Netherlands
  80. The liquidity of energy stocks
  81. Is the journal Ecological Economics really in itself a poor and misleading guide to what ecological economics is about? A reply to “Influencing the perception of what and who is important in ecological economics”
  82. The relationship between size, growth and profitability of commercial banks
  83. The Impact of Earthquakes on the Domestic Stock Market
  84. The relationship between the Renminbi future spot return and the forward discount rate
  85. Ownership Concentration and CSR Policy of European Multinational Enterprises
  86. Corporate Social Responsibility Policies of Commercial Banks in Developing Countries
  87. The Drivers of Responsible Investment: The Case of European Pension Funds
  88. Drivers of Socially Responsible Investing: A Case Study of Four Nordic Countries
  89. Oil price shocks and European industries
  90. The curse of the haven: The impact of multinational enterprise on environmental regulation
  91. Environmental and ecological economics in the 21st century: An age adjusted citation analysis of the influential articles, journals, authors and institutions
  92. Corporate Social Responsibility and Earnings Management: Evidence from Asian Economies
  93. Does Ownership Type Matter for Corporate Social Responsibility?
  94. The sustainability of green funds
  95. Revisions of international firms’ energy reserves and the reaction of the stock market
  96. Corporate social responsibility in the international insurance industry
  97. Stocks and energy shocks: The impact of energy accidents on stock market value
  98. Incentives for subcontractors to adopt CO2 emission reporting and reduction techniques
  99. Linking responsible investments to societal influence: Motives, assessments and risks
  100. Assessing SRI fund performance research: Best practices in empirical analysis
  101. “Is the concept of a green economy a useful way of framing policy discussions and policymaking to promote sustainable development?”
  102. Responsible Investment in Times of Turmoil
  103. Does Money Grow on Trees? The Diversification Properties of U.S. Timberland Investments
  104. The Environmental Performance of Dutch Government Bond Funds
  105. The impact of bank ownership concentration on impaired loans and capital adequacy
  106. Scoring on the stock exchange? The effect of football matches on stock market returns: an event study
  107. ‘What would be the three key preconditions for jumpstarting or scaling up the transfer of environmentally sound technologies for climate change to developing countries?’
  108. A note on the interaction between corporate social responsibility and financial performance
  109. The stocks at stake: Return and risk in socially responsible investment
  110. Environmental regulation and MNEs location: Does CSR matter?
  111. Experts address the question: “How can sustainable land management contribute to mitigating climate change?”
  112. Corporate Social Responsibility in the International Banking Industry
  113. Oil Risk in Oil Stocks
  114. Stakeholder relations and financial performance
  115. Sustainable development and socially responsible finance and investing
  116. Corporate Governance and International Location Decisions of Multinational Enterprises
  117. Financial and Social Performance of Socially Responsible Investments in the Netherlands
  118. Legal Restrictions and Investment Growth
  119. Banking on the Equator. Are Banks that Adopted the Equator Principles Different from Non-Adopters?
  120. Book Review
  121. Joint Default Probabilities and Sovereign Risk
  122. Cultural Values and International Differences in Business Ethics
  123. Experts address the question: How has the globalization of industrial supply chains impacted sustainable development in developing countries?
  124. Finance as a Driver of Corporate Social Responsibility
  125. Financial Development, Inflation Uncertainty and Growth Volatility
  126. What drives socially responsible investment? The case of the Netherlands
  127. Style and Performance of Dutch Socially Responsible Investment Funds
  128. Book review: Age F.P. Bakker and Bryan Chapple (eds.), Capital Liberalization in Transition Countries ? Lessons from the Past and for the Future, Edward Elgar, Cheltenham/Northampton MA, 2003, 200 p. GBP 59.95 (ISBN 1 84376 345 1)
  129. How Important are Foreign Banks in the Financial Development of European Transition Countries?
  130. Announcement effects of bank mergers in Europe and the US
  131. Sovereign Risk and Financial Crises
  132. Country Risk Analysis: Principles, Practices and Policies
  133. Borrowing green: economic and environmental effects of green fiscal policy in The Netherlands
  134. Size, Growth, and Variance among the World's Largest Non-merged Banks
  135. A critique on the theory of financial intermediation
  136. Financial regulation and financial system architecture in Central Europe
  137. Negative Ames-test of cis-di(thiocyanato)-N,N'-bis(4,4'-dicarboxy-2,2'-bipyridine)Ru(II), the sensitizer dye of the nanocrystalline TiO2 solar cell
  138. The Diversification Potential of Tropical Timber Plantation Investment Funds
  139. Environmental, developmental and financial risks of tropical timber plantation investment funds
  140. Financial reform: Theory and experience
  141. Book reviews
  142. On the theory of international financial intermediation
  143. The distribution of Seigniorage in The Netherlands
  144. The economic organisation of a financial system
  145. Reviews
  146. Why do Firms Do Good? Evidence from Managerial Efficiency
  147. Socially Responsible Investing and Management Style of Mutual Funds in the Euronext Stock Markets
  148. Call for Papers Track on Responsible Investments, Utrecht, the Netherlands, 5-8 July, 2009
  149. Stakeholders and Stocks; Assessing the Interaction between International Companies’ Stakeholder Performance and Their Stock Market Returns
  150. Financial Crises and Bank Earnings Volatility: The Role of Bank Size and Market Concentration
  151. Does Money Grow on Trees? The Diversification Properties of US Timberland Investments
  152. Does Money Grow on Trees? The Diversification Properties of US Timberland Investments
  153. The Cost of Socially Responsible Portfolios: Testing for Mean-Variance Spanning
  154. The Effects of Corporate and Country Sustainability Characteristics on the Cost of Debt: An International Investigation
  155. The Effects of Corporate and Country Sustainability Characteristics on the Cost of Debt: An International Investigation
  156. A Comparative Study of Banks’ balance sheets in the European Union and European Transition Countries, 1995–2003
  157. Chapter 11 Price limits in Asia-Pacific financial markets: The case of the Shanghai stock exchange
  158. Analysis of Global Competitors’ Reaction to Mega Merger Announcements by an MNC: The Case of the Citicorp–Travelers Merger