Toward a theory of responsible investing : on the economic foundations of corporate social responsibility
Year of publication: |
August 2015
|
---|---|
Authors: | Dam, Lammertjan ; Scholtens, Bert |
Published in: |
Resource and energy economics. - Amsterdam [u.a.] : Elsevier, ISSN 0928-7655, ZDB-ID 1153616-0. - Vol. 41.2015, p. 103-121
|
Subject: | Socially responsible investing | Corporate social performance | Market-to-book | Return on assets | Stock market return | Kapitaleinkommen | Capital income | USA | United States | Theorie | Theory | Corporate Social Responsibility | Corporate social responsibility | Nachhaltige Kapitalanlage | Sustainable investment |
-
Do US active mutual funds make good of their ESG promises? : evidence from portfolio holdings
Guidolin, Massimo, (2024)
-
Constant and variable returns to scale DEA models for socially responsible investment funds
Basso, Antonella, (2014)
-
How to improve the ESG profile of portfolios while keeping a similar risk-adjusted return
Kopp, Antoine, (2022)
- More ...
-
Environmental regulation and MNEs location : does CSR matter?
Dam, Lammertjan, (2008)
-
Does ownership type matter for corporate social responsibility?
Dam, Lammertjan, (2012)
-
The liquidity of energy stocks
Sklavos, Konstantinos, (2013)
- More ...