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This paper empirically examines the theoretically ambivalent relationship between socially responsible investing (SRI) and stock performance. It extends the existing literature by considering both the US and the entire European stock markets as well as by using consistent world-wide corporate...
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risk. These are novel findings and are consistent with the predictions of the stakeholder theory and the resource …
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-based view theory, a cross-sectional field survey was conducted based on a sample of 291 managers working in Indonesian state …
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