Content
January 2021, Volume 11, Issue 1
- 1-26 The impact of carbon risk on stock returns: evidence from the European electric utilities
by Enrico Bernardini & Johnny Di Giampaolo & Ivan Faiella & Riccardo Poli - 27-46 Financial sources, capital structure and performance of social enterprises: empirical evidence from India
by Revendranath Tirumalsety & Anjula Gurtoo - 47-61 Do you manage what you measure? Investor views on the question of climate actions with empirical results from the Swiss pension fund and insurance sector
by Jakob Thomä & Clare Murray & Vincent Jerosch-Herold & Janina Magdanz - 62-81 Accounting for environmental assets as sovereign wealth funds
by Keron Niles & Winston Moore - 82-102 End of life decommissioning and recycling of solar panels in the United States. A real options analysis
by Carlos Vargas & Marc Chesney
July 2020, Volume 10, Issue 3
- 247-268 An empirical investigation of banking sector performance of Pakistan and Sri Lanka by using CAMELS ratio of framework
by Hibba Saeed & Ahsin Shahid & S. Muhammad Ali Tirmizi - 269-293 The influence of institutional context on corporate social responsibility disclosure: a case of a developing country
by Ibrahem Alshbili & Ahmed A. Elamer - 294-310 Sustainable investments in the Norwegian stock market
by Sondre R. Fiskerstrand & Susanne Fjeldavli & Thomas Leirvik & Yevheniia Antoniuk & Oleg Nenadić - 311-313 Principles of sustainable finance
by Ian Robertson
April 2020, Volume 10, Issue 2
- 83-91 Introduction to the special issue: Scaling Up Green Finance in Asia
by Dina Azhgaliyeva & Brantley Liddle - 92-112 The role of central banks in scaling up sustainable finance – what do monetary authorities in the Asia-Pacific region think?
by Aziz Durrani & Masyitah Rosmin & Ulrich Volz - 113-140 Green bonds for financing renewable energy and energy efficiency in South-East Asia: a review of policies
by Dina Azhgaliyeva & Anant Kapoor & Yang Liu - 141-156 Regulating green bond in China: definition divergence and implications for policy making
by Hao Zhang - 157-170 The political and institutional constraints on green finance in Indonesia
by James Guild - 171-190 Analysing the falling solar and wind tariffs: evidence from India
by Kanika Chawla & Manu Aggarwal & Arjun Dutt - 191-212 Is a portfolio of socially responsible firms profitable for investors?
by Mobeen Ur Rehman & Xuan-Vinh Vo - 213-246 Sustainable finance in Japan
by Kim Schumacher & Hugues Chenet & Ulrich Volz
January 2020, Volume 10, Issue 1
- 1-17 Estimate the economic cost of achieving WASH-related SDGs targets in Punjab
by Uzooba Hureem & Asima Ihsan & Mumtaz Anwar Chaudhry - 18-43 Controversy in mining development: a study of the defensive strategies of a mining company
by Ismael Karidio & David Talbot - 44-64 The evolution of pricing performance of green municipal bonds
by Candace Partridge & Francesca Romana Medda - 65-82 Effects of financial openness on renewable energy investments expansion in Latin American countries
by Matheus Koengkan & José Alberto Fuinhas & Isabel Vieira
October 2019, Volume 9, Issue 4
- 263-281 What are the determinants for financial institutions to mobilise climate finance?
by Toyo Kawabata - 282-294 On the heterogeneity of sustainable and responsible investors
by Bernhard Zwergel & Anett Wins & Christian Klein - 295-324 The influence of stakeholders on management accounting practice
by Babajide Oyewo & Solabomi Ajibolade & Alero Obazee - 325-348 Sustainable earnings: a new eye for emerging finance
by Anshika Agarwal & Sumat P. Aggarwal & Sunita Gupta - 349-355 The importance of fossil fuel divestment and competitive procurement for financing Europe’s energy transition
by Matthew Halstead & Jasper Donker & Francesco Dalla Longa & Bob van der Zwaan - 356-377 Investing for long-term value creation
by Dirk Schoenmaker & Willem Schramade
July 2019, Volume 9, Issue 3
- 183-190 Financial requirement to achieve health-related SDGs in Punjab
by Asima Ihsan - 191-213 Reinventing climate investing: building equity portfolios for climate risk mitigation and adaptation
by Jennifer Bender & Todd Arthur Bridges & Kushal Shah - 214-225 Corporate social responsibility and financial networks as a surrogate for regulation
by Anastassios Gentzoglanis - 226-239 Tax rates of responsible stock mutual fund holdings
by Bridget Bearden - 240-261 Value matters or values matter? An analysis of heterogeneity in preferences for sustainable investments
by Lei Delsen & Alex Lehr
April 2019, Volume 9, Issue 2
- 87-115 Signals for 2°C: the influence of policies, market factors and civil society actions on investment decisions for green infrastructure
by Jahel Mielke - 116-137 The allocation of risk and uncertainty in green infrastructure investment with implications for climate change policy
by Gordon L. Clark - 138-161 The surge of impact borrowing: the magnitude and determinants of green bond supply and its heterogeneity across markets
by M. Chiesa & S. Barua - 162-181 Responsible Investment and the institutional works of investor associations
by Camila Yamahaki
January 2019, Volume 9, Issue 1
- 1-16 Perceptions of the efficacy of sustainability-related performance conditions in executive pay schemes
by Paul Emerton & Aled Jones - 17-32 The green bond market: a potential source of climate finance for developing countries
by Josué Banga - 33-44 Borrower–lender relationship and access to commercial banks’ credit market
by Frank Gyimah Sackey - 45-67 Sustainable portfolio management under climate change
by Mingyu Fang & Ken Seng Tan & Tony S. Wirjanto - 68-86 Environment – risk-weighted assets: allowing banking supervision and green economy to meet for good
by Lorenzo Esposito & Giuseppe Mastromatteo & Andrea Molocchi
October 2018, Volume 8, Issue 4
- 301-322 Engagement on ESG issues by Dutch pension funds: is it reaching its full potential?
by Frank AJ Wagemans & CSA (Kris) van Koppen & Arthur PJ Mol - 323-328 Transparency and disclosure – do policy frameworks enhance financial centre reputation?
by Mike Wardle & Simon Mills - 329-348 In search of really ethical real estate funds for retail investors
by Quintin G Rayer - 349-367 Psychological characteristics of potential SRI investors and its motivation in Japan: an experimental approach
by Miwa Nakai & Tomonori Honda & Nariaki Nishino & Kenji Takeuchi
July 2018, Volume 8, Issue 3
- 203-212 Incentivizing the direction of multi-capital toward inclusive capitalism
by Todd Cort - 213-241 Predicting pension beneficiaries’ behaviour when offered a socially responsible and impact investment portfolio
by George Apostolakis & Gert Van Dijk & Robert J. Blomme & Frido Kraanen & Athanasios P. Papadopoulos - 242-258 Sustainable finance ratings as the latest symptom of ‘rating addiction’
by Daniel Cash - 259-274 Cost implications of microfinance regulation: lessons from Ghana
by Ayi Gavriel Ayayi & James Atta Peprah - 275-299 The role of multilateral climate funds in urban transitions between 1994 and 2014
by Amar Causevic & Sujeetha Selvakkumaran
April 2018, Volume 8, Issue 2
- 95-113 Developing an evidence base for assessing natural capital risks and dependencies in lending to Australian wheat farms
by Theodor F. Cojoianu & Francisco Ascui - 114-131 Microfinance and credit rationing: does the microfinance type matter?
by Luis Diaz-Serrano & Frank G. Sackey - 132-157 Patience pays off – corporate social responsibility and long-term stock returns
by Gregor Dorfleitner & Sebastian Utz & Maximilian Wimmer - 158-184 Biodiversity and natural capital: investor influence on company reporting and performance
by T. E. Lambooy & K. E. H. Maas & S. van ‘t Foort & R. van Tilburg - 185-202 Investors and stranded asset risk: evidence from shareholder responses to carbon capture and sequestration (CCS) events
by John Byrd & Elizabeth S. Cooperman
January 2018, Volume 8, Issue 1
- 1-25 Time for new financing instruments? A market-oriented framework to finance environmentally friendly practices in EU agriculture
by Marco Migliorelli & Philippe Dessertine - 26-44 The risk-adjusted return potential of integrating ESG strategies into emerging market equities
by Matthew W. Sherwood & Julia L. Pollard - 45-71 Timing effects of corporate social responsibility disclosure: an experimental study with investment professionals
by Markus Arnold & Alexander Bassen & Ralf Frank - 72-93 Is ESG a systematic risk factor for US equity mutual funds?
by Ick Jin
October 2017, Volume 7, Issue 4
- 1-1 Editorial Board
by The Editors - 309-334 Analysis of the impact of achieving NDC on public climate finance
by Ick Jin & Yunhee Kim - 335-359 Climate mitigation finance in leveraging private investments in Indonesia
by Aidy Halimanjaya - 360-378 Environmentally conscious investors and portfolio choice decisions
by Johnson Kakeu
July 2017, Volume 7, Issue 3
- 233-274 Climate mitigation policy as a system solution: addressing the risk cost of carbon
by Delton B. Chen & Joel van der Beek & Jonathan Cloud - 275-289 Examining anomalies in Islamic equity market of Pakistan
by Khalil Jebran & Shihua Chen - 290-306 Sustainable competitiveness: redefining the future with technology and innovation
by Kalpana Mathur & Akanksha Berwa - 307-307 Corrigendum
by The Editors
April 2017, Volume 7, Issue 2
- 139-146 Toxic sustainable companies: a critique on the shortcomings of current corporate sustainability ratings and a definition of ‘financial toxicity’
by Peter Seele & Marc Chesney - 147-168 What is the impact of private and public R&D on clean technology firms’ performance? An international perspective
by Catherine Boulatoff & Carol Marie Boyer - 169-187 Disruptive innovation, stranded assets and forecasting: the rise and rise of renewable energy
by Jemma Green & Peter Newman - 188-196 Does corporate value affect the relationship between Corporate Social Responsibility and stock returns?
by Roger C. Y. Chen & Shih-Wei Hung & Chen-Hsun Lee - 197-231 Explaining the relationship between firm performance and corporate governance of Dutch non-life insurance companies: Dutch mutual and commercial companies compared
by Sebsatiaan Lambalk & Frank Jan de Graaf
January 2017, Volume 7, Issue 1
- 1-13 Introduction to special issue: stranded assets and the environment
by Ben Caldecott - 14-36 Game theory and corporate governance: conditions for effective stewardship of companies exposed to climate change risks
by Lucas Kruitwagen & Kaveh Madani & Ben Caldecott & Mark H. W. Workman - 37-53 Assessing the sources of stranded asset risk: a proposed framework
by Bob Buhr - 54-63 Investment consequences of the Paris climate agreement
by Howard Covington - 64-81 A comparative analysis of the anti-Apartheid and fossil fuel divestment campaigns
by Chelsie Hunt & Olaf Weber & Truzaar Dordi - 82-98 Transition risks and market failure: a theoretical discourse on why financial models and economic agents may misprice risk related to the transition to a low-carbon economy
by Jakob Thomä & Hugues Chenet - 99-113 Blindness to risk: why institutional investors ignore the risk of stranded assets
by Nicholas Silver - 114-137 Social and asocial learning about climate change among institutional investors: lessons for stranded assets
by Elizabeth S. Harnett - 138-138 Erratum
by The Editors
October 2016, Volume 6, Issue 4
- 1-1 Editorial Board
by The Editors - 247-262 On the relevance of low-carbon stock indices to tackle climate change
by Manuel Coeslier & Céline Louche & Jean-François Hétet - 263-291 Is it risky to go green? A volatility analysis of the green bond market
by Linh Pham - 292-300 ESG factors and risk-adjusted performance: a new quantitative model
by N. C. Ashwin Kumar & Camille Smith & Leïla Badis & Nan Wang & Paz Ambrosy & Rodrigo Tavares
July 2016, Volume 6, Issue 3
- 151-160 The construction of an investment portfolio using stochastic programming
by Audrius Kabašinskas & Lina Kadikinaitė - 161-185 Allocating climate mitigation finance: a comparative analysis of five major green donors
by Aidy Halimanjaya - 186-210 Influences for using sustainability information in the investment decision-making of non-professional investors
by Andrea Hafenstein & Alexander Bassen - 211-244 Climate change and the fiduciary duties of pension fund trustees – lessons from the Australian law
by Sarah Barker & Mark Baker-Jones & Emilie Barton & Emma Fagan - 245-246 Journal of Sustainable Finance & Investment (JSFI) Special Section on Risk Management and Sustainability in the Financial Sector
by The Editors
April 2016, Volume 6, Issue 2
- 85-94 What has failed: microfinance or evaluation methods?
by Sefa Awaworyi Churchill & Ahmed Salim Nuhu - 95-111 Integrating ESG into valuation models and investment decisions: the value-driver adjustment approach
by Willem Schramade - 112-147 A systematic review of literature about finance and sustainability
by Maria Carolina Rezende de Carvalho Ferreira & Vinicius Amorim Sobreiro & Herbert Kimura & Flavio Luiz de Moraes Barboza
January 2016, Volume 6, Issue 1
- 1-14 The risk of social responsibility -- is it systematic?
by Gregor Dorfleitner & Gerhard Halbritter & Mai Nguyen - 15-37 Crossing the energy efficiency chasm: an assessment of the barriers to institutional investment at scale, a UK perspective
by Martin Parker & Peter Guthrie - 38-50 Social performance and sustainability of Indian microfinance institutions: an interrogation
by Jesu Raju Thomas & Jyothi Kumar - 51-66 The influence of environmental NGOs on project finance: a case study of activism, development and Australia’s Great Barrier Reef
by Evan Hamman - 67-83 Legitimacy and accountability in the global governance of large-scale agricultural land investments
by Hope Johnson
October 2015, Volume 5, Issue 4
- 205-209 UK pension sustainability and fund manager governance: agent duties to the principal
by Kira Shevchenko & Richard McManus & Janet Haddock-Fraser - 210-233 ESG and financial performance: aggregated evidence from more than 2000 empirical studies
by Gunnar Friede & Timo Busch & Alexander Bassen - 234-254 Capital structure of social purpose companies -- a panel data analysis
by Aleksandra Szymańska & Stijn Van Puyvelde & Marc Jegers
July 2015, Volume 5, Issue 3
- 103-120 Understanding mechanisms in the social investment market: what are venture philanthropy funds financing and how?
by Wolfgang Spiess-Knafl & Jessica Aschari-Lincoln - 121-135 Economic development and banking sector growth in Pakistan
by Ahsin Shahid & Hibba Saeed & S. Muhammad Ali Tirmizi - 136-154 Measuring impact in impact investing: an analysis of the predominant strength that is also its greatest weakness
by Neil Reeder & Andrea Colantonio & John Loder & Gemma Rocyn Jones - 155-177 A push-and-pull factor model for environmental management accounting: a contingency perspective
by Susanne Baumann & Othmar M Lehner & Heimo Losbichler - 178-204 Socially Responsible Investment Funds: a review of research priorities and strategic options
by Maike van Dijk-de Groot & Andre H.J. Nijhof
April 2015, Volume 5, Issue 1-2
- 1-15 Incorporating environmental criteria into credit risk management in Bangladeshi banks
by Olaf Weber & Asadul Hoque & Mohammad Ayub Islam - 16-26 Sustainable investment in Korea does not catch a cold when the United States sneezes
by Wei Rong Ang - 27-47 A model for integrated capital disclosure and performance reporting: separating objects from value
by Kurt Ramin & Stephen Lew - 48-64 Electric utility regulation and investment in green energy resources
by Richard A. Michelfelder - 65-84 Who captures the "green value" in the US office market?
by Nikodem Szumilo & Franz Fuerst - 85-102 Recognizing corporate citizenship: market reactions
by Miwako Nitani & Brian Carriere & Adam Bleackley
October 2014, Volume 4, Issue 4
- 299-320 Information, knowledge, and investing in offshore financial markets
by Gordon L. Clark - 321-336 Socially responsible investment and financial institution's response to secondary stakeholder requests
by Tim Benijts - 337-350 Financial effects of corporate social responsibility: a literature review
by Michael Schröder - 351-356 Climate finance in an age of uncertainty
by Timothy Cadman - 357-371 Financializing development: toward a sympathetic critique of sovereign development funds
by Adam D. Dixon & Ashby H.B. Monk
July 2014, Volume 4, Issue 3
- 213-229 Should pension funds' fiduciary duty be extended to include social, ethical and environmental concerns? A study of beneficiaries' preferences
by Magnus Jansson & Joakim Sandberg & Anders Biel & Tommy Gärling - 230-248 Let's talk: an analysis of the "vote vs. negotiated withdrawal" decision for social activist environmental health shareholder resolutions
by John Byrd & Elizabeth S. Cooperman - 249-265 The rise and spread of sustainable investing in the Netherlands
by Sander Quak & Johan Heilbron & Jessica Meijer - 266-271 An analysis of the role of finance in energy transitions
by Rohit Pathania & Arnab Bose - 272-279 Investing in the next generation of infrastructure for sustainable energy in Canada
by Jatin Nathwani & Artie W. Ng - 280-296 Asset characteristics of solar renewable energy certificates: market solution to encourage environmental sustainability
by Richard A. Michelfelder - 297-298 The long and necessary death of socially responsible investing
by Cary Krosinsky
April 2014, Volume 4, Issue 2
- 91-92 Finance and ethics
by Matthew Haigh - 93-109 A framework to assist the financial community in incorporating water risks into their investment decisions
by Ioannis E. Nikolaou & George Kourouklaris & Thomas A. Tsalis - 110-126 An equation with many variables: unhiding the relationship between sustainability and investment performance
by Benjamin Tobias Peylo & Stefan Schaltegger - 127-146 Are sustainable investment funds worth the effort?
by Laura Mervelskemper & Daniel Kaltofen & Stefan Stein - 147-160 Towards a new framework to account for environmental risk in sovereign credit risk analysis
by Margot Hill Clarvis & Martin Halle & Ivo Mulder & Masaru Yarime - 161-175 An ecological/evolutionary perspective on high-frequency trading
by Bogdan Dragos & Inigo Wilkins - 176-191 A cross-country analysis to investigate the true role of microfinance institutions in developed and developing economies
by Muhammad Sajid Saeed - 192-209 Dilemma of sustainable lending
by Felipe Calderon & Li Choy Chong - 210-210 Call for Papers for the Social Finance and Sustainable Finance Stream: The 14th Finance, Risk and Accounting Perspectives Conference Oriel College, University of Oxford 22nd-24th September 2014 Conference pages http://www.acrn.eu/finance
by Matthew Haigh
January 2014, Volume 4, Issue 1
- 1-8 The financial sector's impact on sustainable development
by Olaf Weber - 9-20 Sustainability challenges and the ambivalent role of the financial sector
by Arnim Wiek & Olaf Weber - 21-37 The impact of corporate governance on sustainability performance
by Paul Shrivastava & Amr Addas - 38-60 From integration to impact - a new investment climate for Germany's SRI landscape
by Thomas Steiauf & Henry Schäfer - 61-75 Private governance and sustainable finance
by Jason Thistlethwaite - 76-89 Social responsibility as a core business model in banking: a case study in the financial sector
by Katrin Kaufer
October 2013, Volume 3, Issue 4
- 287-302 Sustainable investment, Dickens, Malthus and Marx
by Neil Eccles - 303-313 Markets, metaphors, and mania
by Elton McGoun & Jason Makansi - 314-332 Swimming against the tide: ethical banks as countermovement
by Daniel Tischer - 333-343 Learning from mistakes: can the Global Financial Crisis translate into social progress?
by Yves Gendron - 344-359 Rethinking money and the state: a semiotic turn
by David Gleicher - 360-373 The social construction perspective on ESG issues in SRI indices
by Mary Ho
July 2013, Volume 3, Issue 3
- 177-183 Institutional investors, climate change and human rights
by Kristian Alm & Riikka Sievänen - 184-203 'The dark side of the moon': a theoretical framework of complicity applied to the Norwegian Government Pension Fund Global
by Kristian Alm - 204-222 The non-response of pension funds to climate change and human rights
by Riikka Sievänen - 223-237 Social responsibility and the political: studying the politics of social responsibility in institutional investment
by Ville-Pekka Sorsa - 238-263 What type of controlling investors impact on which elements of corporate social responsibility?
by William Rees & Tatiana Rodionova - 264-282 An analysis of sovereign wealth and pension funds' ethical investment guidelines and their commitment thereto
by Ole Alexander Jensen & Peter Seele
April 2013, Volume 3, Issue 2
- 71-74 Impact investing and responsible investing: what does it mean?
by Tessa Hebb - 75-94 Institutional impact investing: practice and policy
by David Wood & Ben Thornley & Katie Grace - 95-110 Interrogating the theory of change: evaluating impact investing where it matters most
by Edward T. Jackson - 111-123 Impact investing: a preliminary analysis of emergent primary and secondary exchange platforms
by Marguerite Mendell & Erica Barbosa - 124-137 Lessons in operationalizing social finance: the case of Vancouver City Savings Credit Union
by Sean Geobey & Olaf Weber - 138-154 Meeting the challenge of impact investing: how can contracting practices secure social impact without sacrificing performance?
by Madeleine Evans - 155-175 Enabling social enterprise through regulatory innovation: a case study from the United Kingdom
by Nicholas E. Florek
January 2013, Volume 3, Issue 1
- 1-16 Fiduciary responsibility in retail funds: clarifying the prospects for SRI
by Benjamin J. Richardson - 17-37 Modern portfolio theory and risk management: assumptions and unintended consequences
by Mehdi Beyhaghi & James P. Hawley - 38-56 Carbon markets in times of VUCA: a weak-form efficiency investigation of the phase II EU ETS
by Scott J. Niblock & Jennifer L. Harrison - 57-69 Credit risk modelling and sustainable agriculture: asset evaluation and rural carbon revenue
by Emmanuel Olatunbosun Benjamin
October 2012, Volume 2, Issue 3-4
- 163-165 Introduction
by Heather Hachigian & Sarah M. McGill - 166-178 Reframing the governance challenge for sustainable investment
by Heather Hachigian & Sarah M. McGill - 179-197 Corporate governance and active engagement in Japan: transformation in the face of incremental shareholder value?
by Yukie Saito - 198-221 How can we know if investors are coherently linking sustainability concepts?
by Dane P. Rook - 222-239 ‘Peak’ phosphorus? The implications of phosphate scarcity for sustainable investors
by Sarah M. McGill - 240-256 Corporate foundations in the mining industry: the relationship between responsible investment and social investment
by Caitlin A. McElroy - 257-274 The role of climate finance in innovation systems
by J. Ryan Hogarth - 275-286 Reconciling transparency and long-term investing within sovereign funds
by Adam D. Dixon & Ashby H.B. Monk - 287-302 Developing a self-sustaining protected area system: a feasibility study of national tourism fee and green infrastructure in the Solomon Islands
by Hoasiuhu Francis - 303-317 Sustainable stock indices and long-term portfolio decisions
by Robert J. Bianchi & Michael E. Drew - 318-337 Sustainability indices in emerging markets: impact on responsible practices and financial market development
by Antonio Vives & Baljit Wadhwa - 338-375 The drivers of the relationship between corporate environmental performance and stock market returns
by Marien de Haan & Lammertjan Dam & Bert Scholtens
June 2012, Volume 2, Issue 2
- 119-135 Fiduciary finance ≠ stakeholder management: a reply to Cadman's governance theory
by Matthew Haigh
April 2012, Volume 2, Issue 2
- 85-87 Connecting sustainability goals to financing activity
by Matthew Haigh - 88-94 Publishing and defining sustainable finance and investment
by Matthew Haigh - 95-118 Responsible lending: credit may precipitate firm failure in volatile macroeconomic environments
by Janvier D. Nkurunziza
May 2012, Volume 2, Issue 2
- 136-151 What matters for socially responsible investment (SRI) in the natural resources sectors? SRI mutual funds and forestry in North America
by William Nikolakis & David H. Cohen & Harry W. Nelson
February 2012, Volume 2, Issue 2
- 152-161 Dear Sir, we are not an NGO
by Wim Vandekerckhove & Jos Leys
2012, Volume 2, Issue 1
- 1-2 SRI and extractive industries
by Benjamin Richardson - 3-25 Shareholder engagement in the extractive sector
by Rupert Allen & Hugues Letourneau & Tessa Hebb - 26-43 Political action through environmental shareholder resolution filing: applicability to Canadian Oil Sands?
by Jackie Cook - 44-63 Mining, human rights and the socially responsible investment industry: considering community opposition to shareholder resolutions and implications of collaboration
by Catherine Coumans - 64-81 Corporate sustainability assessment in financing the extractive sector
by Olaf Weber & Yolanda Banks - 82-82 Climate change and human rights
by The Editors - 83-84 Financialization in an era of globalization
by The Editors
October 2011, Volume 1, Issue 3-4
- 179-179 Dialectics in sustainability
by Matthew Haigh - 180-194 Shareholder passivity: a viable explanation for corporate governance failures at NewsCorp?
by Gabriel A. Huppé & Priya Bala-Miller - 195-208 Establishing a corporate sustainability monitoring tool using the shareholder engagement commitment indicator
by Christine Chow - 209-221 CSR and mainstream investing: a new match? -- an analysis of the existing ESG integration methods in theory and practice and the way forward
by Kristina Praestbro Nielsen & Rikke Winther Noergaard - 222-229 Role of sustainable development in Bilateral Investment Treaties: recent trends and developments
by Yulia Levashova - 230-240 Trust in money: hard, soft and idealistic factors in Euro, gold and German community currencies
by Erhard Theophil Wonneberger & Harald A. Mieg - 241-250 Would we have had this crisis if women had been running the financial sector?
by Ricardo F. Crespo & Irene van Staveren - 251-260 The ‘Governance Gap’, or missing links in transnational chains of accountability for extractive industry investment
by Carole Biau
April 2011, Volume 1, Issue 2
- 91-92 The Journal of Sustainable Finance & Investment
by Matthew Haigh - 93-102 Preferences of retail investors and institutions for corporate social performance
by Michel T. J. Rakotomavo - 103-120 Hardwiring green: how banks account for biodiversity risks and opportunities
by Ivo Mulder & Thomas Koellner