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Journal of Sustainable Finance & Investment最新文献

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The effect of ESG scores on bank stability: Islamic vs. conventional banks ESG 分数对银行稳定性的影响:伊斯兰银行与传统银行
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-08-29 DOI: 10.1080/20430795.2024.2395876
Asaad Sendi, Hasanul Banna, M. Kabir Hassan, Tahsin Imtiazul Huq
This paper examines the impact of ESG (Environmental, Social, and Governance) factors on the stability of banks across different continents, focusing on both conventional and Islamic banking instit...
本文研究了ESG(环境、社会和治理)因素对各大洲银行稳定性的影响,重点关注传统银行和伊斯兰银行机构。
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引用次数: 0
Climate-related risks, firm performance and role of risk reserve funds: empirical evidence in Vietnam 与气候相关的风险、企业绩效和风险准备金的作用:越南的经验证据
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-08-16 DOI: 10.1080/20430795.2024.2390953
Thi Thu Hong Dinh, Tuan Huu Nguyen, Thanh Phuc Nguyen
This study examines how climate-related risks and risk reserve funds affect the financial performance of Vietnamese-listed firms in climate-sensitive sectors. Using data from 464 firms between 2003...
本研究探讨了气候相关风险和风险储备基金如何影响气候敏感行业越南上市公司的财务业绩。研究使用了 2003 年间 464 家公司的数据...
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引用次数: 0
Carbon emissions and firm profitability 碳排放与企业盈利能力
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-08-03 DOI: 10.1080/20430795.2024.2386476
A. Marcel Oestreich, Ilias Tsiakas
We assess the empirical relation between firm profitability and reported carbon emission intensity. Using data on S&P 500 firms, we find that the cross-sectional relation between profitability and ...
我们评估了企业盈利能力与报告的碳排放强度之间的经验关系。利用标准普尔 500 强企业的数据,我们发现盈利能力与报告的碳排放强度之间的横截面关系...
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引用次数: 0
Where and how machine learning plays a role in climate finance research 机器学习在气候融资研究中的作用和方式
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-06-30 DOI: 10.1080/20430795.2024.2370325
Andres Alonso-Robisco, Javier Bas, Jose Manuel Carbo, Aranzazu de Juan, Jose Manuel Marques
The financial sector, by mobilizing capital, is fundamental to adapt and mitigate the impact of climate change in the economy. This has led to the emergence of a new research field, climate finance...
金融部门通过调动资本,对于适应和减轻气候变化对经济的影响至关重要。因此,出现了一个新的研究领域--气候融资。
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引用次数: 0
The value of resilience bond in financing flood resilient infrastructures: a case study of Towyn 抗洪债券在抗洪基础设施融资中的价值:托温案例研究
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-06-26 DOI: 10.1080/20430795.2024.2366200
Yang Song, Francesca Medda, Miao Wang
As catastrophic events become increasingly frequent, infrastructure systems face rising challenges from the dynamic environment. Enhancing the resilience of the current infrastructure system in adv...
随着灾难性事件的日益频繁,基础设施系统面临着来自动态环境的日益严峻的挑战。提高现有基础设施系统的抗灾能力,以适应不断变化的环境。
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引用次数: 0
Elasticity of environmental, social, sustainable and management stocks: an analysis of market breakdown, technology and growth while COVID-19 pandemic 环境、社会、可持续和管理存量的弹性:COVID-19 大流行时的市场细分、技术和增长分析
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-06-18 DOI: 10.1080/20430795.2024.2368184
Muhammad Jawad, Munazza Naz
The COVID-19 pandemic and subsequent eradication precipitated a rare and unexpected stock market crash. Consequently, the crisis presents a unique chance to evaluate Environmental, Social, Sustaina...
COVID-19 的流行和随后的根除引发了一场罕见且出乎意料的股市暴跌。因此,这场危机为我们提供了一个独特的机会,以评估环境、社会、可持续发展和经济增长的影响。
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引用次数: 0
Are retail investors willing to buy green bonds? A case for Japan 散户投资者是否愿意购买绿色债券?日本的案例
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-05-10 DOI: 10.1080/20430795.2024.2349723
Kentaka Aruga
With the growing importance of the financial sector in mitigating environmental pressure, many financial institutions have begun issuing green bonds. This study investigated retail investors’ willi...
随着金融业在减轻环境压力方面的重要性日益增加,许多金融机构已开始发行绿色债券。本研究调查了散户投资者对发行绿色债券的意愿。
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引用次数: 0
Dynamic linkage between environmental segments of stock markets: the role of global risk factors 股票市场环境板块之间的动态联系:全球风险因素的作用
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-04-26 DOI: 10.1080/20430795.2024.2344525
Vítor Manuel de Sousa Gabriel, Dora Almeida, Andreia Dionísio, Paulo Ferreira
This study evaluates the links between representative indices of companies with high environmental performance and the propensity of such indices to economic and financial shocks. Five indices, rep...
本研究评估了高环境绩效公司的代表性指数与这些指数对经济和金融冲击的倾向性之间的联系。五种指数,分别代表...
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引用次数: 0
Do MENA firms consider climate risks? Evidence from the relationship between ESG and firm performance 中东和北非地区的公司考虑气候风险吗?环境、社会和公司治理与公司业绩之间关系的证据
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-04-10 DOI: 10.1080/20430795.2024.2334256
Yomna Abdulla, Ahmed Jawad
We investigate the moderating effect of climate risk, measured by Carbon dioxide (CO2) emissions and a Global Climate Risk Index (CRI), on the relationship between Environmental, Social and Governa...
我们研究了以二氧化碳(CO2)排放量和全球气候风险指数(CRI)衡量的气候风险对环境、社会和政府之间关系的调节作用。
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引用次数: 0
Risk of Islamic securities (SUKUK) and a proposed reforms for development: the Indonesian experience 伊斯兰证券(SUKUK)的风险和促进发展的改革建议:印度尼西亚的经验
IF 4.3 Q1 BUSINESS, FINANCE Pub Date : 2024-04-04 DOI: 10.1080/20430795.2024.2337359
Romi Adetio Setiawan, Agung Suwandaru
This study investigates Sukuk risk analysis and its contribution to Indonesian development by analysing historical market data. Two separate analyses were conducted: first, Sukuk risk valuation usi...
本研究通过分析历史市场数据,研究了伊斯兰债券的风险分析及其对印尼发展的贡献。本研究分别进行了两项分析:第一,利用Sukuk风险估值工具对Sukuk风险进行分析;第二,利用Sukuk风险估值工具对Sukuk风险进行分析。
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引用次数: 0
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Journal of Sustainable Finance & Investment
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