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Environmental, social and governance controversies and systematic risk: A machine learning approach

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  • Shakil, Mohammad Hassan
  • Pollestad, Arne Johan
  • Kyaw, Khine

Abstract

We examine the relationship between environmental, social and governance (ESG) controversies and systematic risk among non-financial firms in the STOXX Europe 600 index from 2016 to 2022. We apply random forest regression to predict firm-level systematic risk and employ explainable AI techniques to assess the role of ESG controversies. The results show a negative relationship between ESG controversies and systematic risk, with higher controversies predicting increased systematic risk. Traditional regression models, such as pooled ordinary least squares and year- and industry-fixed effects, show a similar relationship. However, our model exhibits an average prediction error of 0.25 for 2022, representing a 30 percent reduction in the prediction error compared to the benchmark. Systematic risk increases significantly for firms embroiled in ESG controversies for the first time (“first timers”) and those with frequent issues (“regulars”). Sector-wise, systematic risk is most pronounced in the machinery sector and least in the real estate sector.

Suggested Citation

  • Shakil, Mohammad Hassan & Pollestad, Arne Johan & Kyaw, Khine, 2025. "Environmental, social and governance controversies and systematic risk: A machine learning approach," Finance Research Letters, Elsevier, vol. 75(C).
  • Handle: RePEc:eee:finlet:v:75:y:2025:i:c:s1544612325001588
    DOI: 10.1016/j.frl.2025.106894
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