Content
January 2023, Volume 13, Issue 1
- 1-1 Correction
by The Editors - 1-15 Influence of the social and economic characteristics of Saudi women on their attitudes toward empowering them in online labor market
by Saud N. Alshmery & Hind R. Alqirnas & Muna I. Alyuosef - 16-43 Empowering Saudi women in the tourism and management sectors according to the Kingdom's 2030 vision
by Amnah A. A. Alasgah & Eman S. I. Rizk - 44-58 The role of digital management in improving the performance of tourism sectors in the Kingdom of Saudi Arabia in the light of 2030 vision
by Mona Solomon Al-Thoblany & Muna Ibrahim Alyuosef - 59-72 The effect of economic variables (workers ‘diaries abroad, bank deposits, gross domestic product, and inflation) on stock returns in the Amman Financial Market from 2005/2018
by Khawla Kassed Abdo & Hanan A. M. Al-Qudah & Laith Akram Al-Qudah & Mohammad Zakaria al Qudah - 73-91 Exploring managerial skills of Pakistan Public Universities (PPUs)’ middle managers for campus sustainability
by Syed Kaleem Ullah Shah Bukhari & Rani Gul & Tayyaba Bashir & Sumaira Zakir & Tariq Javed - 92-103 The impact of COVID-19 (SARS-CoV-2) in tourism industry: evidence of Kosovo during Q1, Q2 and Q3 period of 2020
by Bekë Kuqi & Elvis Elezaj & Bedri Millaku & Adem Dreshaj & Nguyen Tan Hung - 104-117 Effectiveness of exchange rate channel in transiting monetary policy impact to real economy: the case of Yemen
by M. Hilmi Özkaya & Maeen Alhuwesh - 118-124 The contribution of Amil Zakat, Infaq and Shadaqah Muhammadiyah (LAZISMU) institutions in handling the impact of Covid-19
by Mursal Mursal & Mahyudin Ritonga & Fitria Sartika & Ahmad Lahmi & Talqis Nurdianto & Lukis Alam - 125-141 The optimal project selection in portfolio management using fuzzy multi-criteria decision-making methodology
by Husam Jasim Mohammed - 142-160 The relationship between leaders’ mastery of tacit knowledge management skills and the achievement of competitive advantage at universities
by Share Aiyed M. Aldosari - 161-175 The impact of the COSO control components on the financial performance in the Jordanian banks and the moderating effect of board independence
by Aiman M. Abu Hamour & Deema Daifalleh Mohammed Massadeh & Mohamed Mahmoud Bshayreh - 176-193 Requirements for enhancing the standard of accounting education and its alignment with labor market requirements a case study hospitality and industrial sector in Jordan
by Mousa Mohammad Abdullah Saleh & Omar A. A. Jawabreh & Sameer ahmad hmoud al-Amro & Haneen Mahmoud Ibrahim Saleh - 194-209 The effect of using the target cost on reducing costs in the tourism companies in Aqaba Special Economic Zone Authority
by Atallah Al-hosban & Mohammed Alsharairi & Isssa Al-Tarawneh - 210-228 Credit risks measurement in Islamic banks study model
by Hanan Ahmed AL Qudah - 229-247 The effect of external economic variables on the conventional banks and Islamic banks financial performance in Jordan: a comparative study
by Khawla Kassed Abdo - 248-263 Managerial decision-making (DM) in Kosovo organizations based on SPACE model analysis by using AHP fuzzy method
by Elvis Elezaj & Halit Shabani & Bekë Kuqi & Nguyen Tan Hung - 264-282 Impact of COVID-19 pandemic on franchise performance from franchisee perspectives: the role of entrepreneurial orientation, market orientation and franchisor support
by Thi Thao Hien Bui & Manimekalai Jambulingam & Muslim Amin & Nguyen Tan Hung - 283-296 Impact of Covid-19 on Airbnb: evidence from Vietnam
by Nguyen Bang Nong & Van Hong Thi Ha - 297-310 Does stock market development and COVID-19 pandemic lead to financial crisis: the case of largest Islamic stock exchange market?
by Elhachemi Abdelkader Hacine Gherbi & Ibrahim Tawfeeq Alsedrah - 311-329 Economic and social implications of the spread of Corona virus on the Saudi Community and the scientific and practical solutions to reduce and limit them
by Manar Tayseer Hasid Batayneh & Rimal Bou-Bakr Saleh Al-Kouki & Hanadi Eid Albogam - 330-352 Financial reporting quality in pandemic era: case analysis of Vietnamese enterprises
by Quoc Thuan Pham & Xuan Thuy Ho & Thi Phuong Loan Nguyen & Thi Huyen Quyen Pham & Anh Thanh Bui - 353-365 Impact of COVID-19 pandemic on total market trade value (institutional investors vs non-institutional investors)
by Ibrahim Tawfeeq Alsedrah & Elhachemi Abdelkader Hacine Gherbi - 366-386 The effect of earnings quality and bank continuity: the moderating role of ownership structure and CSR
by Abdullah Mohammed Sadaa & Yuvaraj Ganesan & Mohammed Ghanim Ahmed - 387-405 Do greener funds perform better? An analysis of open-end equity funds in China
by Xingxing Chen & Olaf Weber & Xianzhong Song & Lidan Li - 406-430 ESG and financial performance of banks in the MENAT region: concavity–convexity patterns
by R. El Khoury & N. Nasrallah & B. Alareeni - 431-449 Money multiplier under Basel capital ratio regulation: implications for counter-COVID-19 stimulus
by Henry Penikas - 450-462 Regulatory capital requirement and bank stability in Sub-Saharan Africa
by Ibrahim Nandom Yakubu & Alhassan Bunyaminu - 463-476 Governance quality, social and macro-economic conditions: implications for financial inclusion
by Soumaya Ben Khelifa - 477-498 Perception of the digital transformation as a strategic advantage through the Covid 19 crisis? case of Tunisian banks
by Saliha Theiri & Bahaaeddin Alareeni - 499-515 Factors of applying creative accounting and its impact on the quality of financial statements in Jordanian hotels, sustainable practices
by Mousa Mohammad Abdullah Saleh & Omar Jawabreh & Enas Fakhri Mohammad Abu-Eker - 516-559 Institutional framework of ESG disclosures: comparative analysis of developed and developing countries
by Monica Singhania & Neha Saini - 560-571 Impact of credit on sustainable agricultural development in India
by Alka Kumari & Vikas Garg - 572-588 Impact of macroeconomic variables on sustainability indices using ARDL model
by Preeti Sharma & Avinash K. Shrivastava & Sachin Rohatgi & Bhakti Bhushan Mishra - 589-613 Investment decisions in digital sukuk in the time of COVID-19: do tax incentives matter?
by Saeed Awadh Bin-Nashwan & Aishath Muneeza - 614-633 Sustainable finance in cybersecurity investment for future profitability under uncertainty
by Herenia Gutiérrez Ponce & Julián Chamizo González & Manar Al-Mohareb - 634-659 Augmenting commercial banks’ other income through off-balance sheet activities in relation to their determinants in the Indian banking system
by Vineet Kumar & Vijay Agrawal - 660-677 What are you waiting to invest in grid-connected residential photovoltaics in California? A real options analysis
by Carlos Vargas & Marc Chesney - 678-699 A sustainable banking services analysis and its effect on customer satisfaction
by Neha Puri & Vikas Garg - 700-701 From the desk of editor-in-chief
by Gurinder Singh & Shalini Aggarwal & Vikas Garg & Richa Goel - 702-722 Index construction for sustainable development investing
by Alexander Bassen & Christian Fieberg & Othar Kordsachia & Kerstin Lopatta & Bastian Nendza - 723-743 Application of artificial neural networks in predicting financial distress in the JSE financial services and manufacturing companies
by Fikile Dube & Ntokozo Nzimande & Paul-Francois Muzindutsi - 744-762 The role of blockchain technology in the integration of sustainability practices across multi-tier supply networks: implications and potential complexities
by Mohammad Najjar & Ihab H. Alsurakji & Amjad El-Qanni & Abdulnaser I. Nour - 763-775 Fuzzy confrontations of models of ESG investing versus non-ESG investing based on artificial intelligence algorithms
by Stanislav Škapa & Nina Bočková & Karel Doubravský & Mirko Dohnal - 776-801 Sustainability reporting in banking and financial services sector: a regional analysis
by Amina Mohamed Buallay & Meera Al Marri & Nohade Nasrallah & Allam Hamdan & Elisabetta Barone & Qasim Zureigat - 802-825 Does sustainability generate better financial performance? review, meta-analysis, and propositions
by Ulrich Atz & Tracy Van Holt & Zongyuan Zoe Liu & Christopher C. Bruno
October 2022, Volume 12, Issue 4
- 1009-1026 Impact investments that have stood the test of time: Historical Homes of South Africa (1966-2020)
by Suzette Viviers & Johann de Villiers - 1027-1044 The role of globalization in financial development, trade openness and sustainable environmental -economic growth: evidence from selected South Asian economies
by Ankasha Arif & Misbah Sadiq & Malik Shahzad Shabbir & Ghulam Yahya & Aysha Zamir & Lydia Bares Lopez - 1045-1068 How material is a material issue? Stock returns and the financial relevance and financial intensity of ESG materiality
by Costanza Consolandi & Robert G. Eccles & Giampaolo Gabbi - 1069-1084 Greening the Chinese financial system through experimentations? Assessing the effectiveness of green finance business experimentations in Guangdong, China
by Qianqian Wei & Sirui Xiao - 1085-1101 Environmental social governance: a core value to responsible stakeholders and stock market sustainability in the Kingdom of Saudi Arabia
by Nisa Vinodkumar & Ghadah Alarifi - 1102-1124 Effect of financial sector development and institutions on economic growth in SSA. Does the peculiarities of regional blocs matter?
by Mahawiya Sulemana & John Bosco Dramani - 1125-1145 ESG-screening and factor-risk-adjusted performance: the concentration level of screening does matter
by Ick Jin - 1146-1166 Governance mechanisms for sustainable lending: an exploratory study of existing practices
by Felipe Calderon - 1167-1170 Climate risk management (CRM) and how it relates to achieving alignment with climate outcomes (ACO)
by Ben Caldecott - 1171-1193 Analysing Islamic banking ethical performance from Maqāṣid al-Sharī‘ah perspective: evidence from Indonesia
by Salah Alhammadi & Khaled O. Alotaibi & Dzikri F. Hakam - 1194-1216 Are green bonds funding the transition? Investigating the link between companies’ climate targets and green debt financing
by Heidi Tuhkanen & Gregor Vulturius - 1217-1231 Risk-adjusted performance evaluation of pension fund managers under social security schemes (National Pension System) of India
by Krishna Murari - 1232-1240 The effect of fragility on foreign direct investment deterioration: the case of MENA countries
by Samer Abdelhadi & Ala’ Bashayreh & Mohammad W. Alomari - 1241-1264 A review of studies on green finance of banks, research gaps and future directions
by Isaac Akomea-Frimpong & David Adeabah & Deborah Ofosu & Emmanuel Junior Tenakwah - 1265-1284 An asymmetric spillover between China and Pakistan’ stock markets: a comparative analysis before and during COVID-19 crisis
by Khurram Shehzad & Liu Xiaoxing & Hayfa Kazouz & Daniel Balsalobre-Lorente & Ayoub Zeraibi & Abdul Rauf - 1285-1307 Key challenges in crossborder interconnector finance
by Kat Buchmann & Aled Jones & Yiyun Zhang & Johanna Schönecker - 1308-1329 Research on Islamic corporate social responsibility and Islamic bank disclosures
by Ardi Gunardi & Aldrin Herwany & Erie Febrian & Mokhamad Anwar - 1330-1345 Green securitisation
by Rossella Agliardi
July 2022, Volume 12, Issue 3
- 671-683 Editorial: growing gender lens investing in emerging markets
by Carolina Robino & Edward T. Jackson - 684-703 Evolving the gender analysis in gender lens investing: moving from counting women to valuing gendered experience
by Tia Subramanian & Arianna Muirow & Joy Anderson - 704-723 Development finance institutions and the care economy: opportunities for building more resilient and gender-equitable economies
by Jessica Espinoza Trujano & Anne-Marie Lévesque - 724-751 Taking small steps together: incorporating a gender lens approach for small and growing businesses - a case study
by Ruta Aidis & Sarah Eissler & Nicole Etchart & Renata Truzzi de Souza - 752-762 Measuring the women’s economic empowerment generated by impact investing; testing the QuIP method on an investment in Uganda’s cotton sector
by Rebekah Avard & Moses Mukuru & M. J. Liesner - 763-784 Triple dissonance: women-led funds. With a gender lens. In Africa
by Jessica Espinoza Trujano & Lelemba Phiri - 785-808 Board gender diversity and firm performance: evidence from Latin America
by Valentina Marquez-Cardenas & Juan David Gonzalez-Ruiz & Eduardo Duque-Grisales - 809-831 Managerial support and innovative work behaviour in B corps: Examining the effect of female employee work engagement and corporate reputation
by Francoise Contreras & Karla Soria-Barreto & Sergio Zuniga-Jara - 832-848 Analysis of success-dependent factors for green bond financing of infrastructure projects in Ghana
by Lawrence Martin Mankata & De-Graft Owusu-Manu & M. Reza Hosseini & David John Edwards - 849-869 Efficiency and stability of Islamic vs. conventional banking models: a meta frontier analysis
by Mirwais Parsa - 870-885 Mitigating the destructive outcome of negative environmental stock market behaviours on environmental health security in China
by Henry Asante Antwi - 886-893 Post Covid-19 stimulus and bailouts need to be compatible with the Paris Agreement
by Ben Caldecott - 894-911 A sustainable development assessment of Indonesia’s state banks financing for the industrial and non-industrial sector
by Aditya Pratama Nandiwardhana & Dan Cudjoe & Dudi Permana - 912-933 Financial market sustainable development of Kazakhstan: scenario approach based on fuzzy cognitive maps
by Yuliya Nichkasova & Halina Shmarlouskaya & Kulyash Sadvokassova - 934-938 Defining transition finance and embedding it in the post-Covid-19 recovery
by Ben Caldecott - 939-957 The carbon content of Italian loans
by Ivan Faiella & Luciano Lavecchia - 958-984 Institutional investment and corporate social performance: aggregated time-Series evidence from an emerging economy
by Sarwar Uddin Ahmed & Samiul Parvez Ahmed & Uttam Karmaker & Rooslan Mizan - 985-1005 What drives green sukuk? A leader’s perspective
by Mohammad Syafiq Abdullah & J. S. Keshminder - 1006-1007 Correction
by The Editors
April 2022, Volume 12, Issue 2
- 1-1 RETRACTED ARTICLE: Nexus between sustainable economic growth and foreign private investment: evidence from emerging and developed economies
by Muhammad Safdar Sial & Jacob Cherian & Susana Álvarez-Otero & Ubaldo Comite & Malik Shahzad Shabbir & Stefan B. Gunnlaugsson & Mosab Ismail Tabash - 275-298 ‘Best in class' socially responsible investment. The actual performance evaluation between the US and Europe
by Alberto Burchi & Bogdan Włodarczyk - 299-318 Does sharia governance influence corporate social responsibility disclosure in Indonesia Islamic banks?
by Ridwan Ridwan & Arung Gihna Mayapada - 319-359 A model of price correlations between clean energy indices and energy commodities
by Takashi Kanamura - 360-374 Asset-backed stable numéraire approach for sustainable valuation
by Nadi Serhan Aydın & Martin Rainer - 375-388 When ‘green’ challenges ‘prime’: empirical evidence from government bond markets
by Toan Luu Duc Huynh - 389-406 Structural and specific barriers to the development of a green bond market in Brazil
by Camila Yamahaki & Annelise Vendramini Felsberg & Alexandre C. Köberle & Angelo Costa Gurgel & Janaína Stewart-Richardson - 407-422 Why market actors fuel the carbon bubble. The agency, governance, and incentive problems that distort corporate climate risk management
by Drew Riedl - 423-430 Canadian banks’ responses to COVID-19: a strategic positioning analysis
by David Talbot & Eduardo Ordonez-Ponce - 431-450 The effect of institutional dual holdings on CSR performance
by Kerstin Lopatta & Alexander Bassen & Thomas Kaspereit & Sebastian A. Tideman & Daniel Buchholz - 451-474 Mobilising investments in renewable energy in Germany: which role for public investment banks?
by Paola D'Orazio & Philipp Löwenstein - 475-489 Remittance inflows and poverty Nexus in Botswana: a multivariate approach
by Mercy T. Musakwa & Nicholas M. Odhiambo - 490-496 ESG ratings and financial performance of exchange-traded funds during the COVID-19 pandemic
by Zachary Folger-Laronde & Sep Pashang & Leah Feor & Amr ElAlfy - 497-524 Sustainable finance in Germany: mapping discourses, stakeholders, and policy initiatives
by Berthold M. Kuhn - 525-528 Obstacles to sustainable finance and the covid19 crisis
by Rodrigo Zeidan - 529-535 Optimal ESG portfolios: an example for the Dow Jones Index
by Anatoly B. Schmidt - 536-553 Forming methodologies to improving the efficiency of innovative companies based on leasing tools
by Andrey S. Nechaev & Sergey V. Zakharov & Yuliya N. Barykina & Marina V. Vel'm & Olga N. Kuznetsova - 554-569 How does the impact of foreign direct investment on institutional quality depend on the underground economy?
by Cong Minh Huynh - 570-592 Investigating socially responsible investing behaviour of Indian investors using structural equation modelling
by Vishal Vyas & Kiran Mehta & Renuka Sharma - 593-611 Women participation in achieving sustainability of microfinance institutions (MFIs)
by Ainan Memon & Waqar Akram & Ghulam Abbas - 612-629 Capital stock development in Latin America and the Caribbean region and their effect on investment expansion in renewable energy
by Matheus Koengkan - 630-637 Addressing the missing linkage in sustainable finance: the ‘SDG Finance Taxonomy’
by Christoph Nedopil Wang & Mathias Lund Larsen & Y. Wang - 638-654 The effect of women managers in the board of directors of companies on the integrated reporting: example of Istanbul Stock Exchange (ISE) Sustainability Index
by Çisem Bektur & Sabri Burak Arzova - 655-668 Social capital and capital structure
by Richard P. Gregory - 669-669 Statement of Retraction: Nexus between sustainable economic growth and foreign private investment: evidence from emerging and developed economies
by The Editors
January 2022, Volume 12, Issue 1
- 1-12 Entrepreneurship Growth in Emerging Economies: New Insights and Approaches
by Allam Hamdan & Hasan Ghura & Bahaaeddin Alareeni & Reem Khamis Hamdan - 13-43 Is corporate governance a good predictor of SMEs financial performance? Evidence from developing countries (the case of Lebanon)
by Nohade Nasrallah & R. El Khoury - 44-61 The relationship between social entrepreneurship and sustainable development from economic growth perspective: 15 ‘RCEP’ countries
by Anas Ali Al-Qudah & Manaf Al-Okaily & Hamza Alqudah - 62-86 A worldwide sectorial analysis of sustainability reporting and its impact on firm performance
by Abdulla Yusuf Al Hawaj & Amina Mohamed Buallay - 87-102 Understanding the implications of FinTech Peer-to-Peer (P2P) lending during the COVID-19 pandemic
by Khakan Najaf & Ravichandran K. Subramaniam & Osama F. Atayah - 103-127 Organisational, societal, and individual factors affecting women’s career progression in Bahraini banking sector
by Layla Alhalwachi & Chima Mordi - 128-146 The impact of corporate social responsibility on corporate image in the construction industry: a case of SMEs in Egypt
by Naglaa Ibrahim Khamis & Wan Khairuzzaman Wan Ismail - 147-168 Entrepreneurship and productivity in Africa: the role of institutions
by Folorunsho M. Ajide - 169-194 Entrepreneurship–growth nexus: does the size of the informal economy matter?
by Lama Radwan & Yousef Daoud - 195-213 Source of fund, financial constraints, political instability, and firm innovation: empirical evidence from Arab Spring countries
by Hülya Ünlü & Ali Saleh Alshebami - 214-237 Determinants of sustainability reporting decision: evidence from Pakistan
by Arshad Hasan & Khaled Hussainey & Doaa Aly - 238-250 Financial sustainability and outreach in microfinance institutions: evidence from MENA countries
by Rami Abu Wadi & Ala’ Bashayreh & Lubna Khalaf & Samer Abdelhadi - 251-273 Has sustainable investing made an impact in the period of COVID-19?: evidence from Australian exchange traded funds
by Lan Sun & Garrick Small
October 2021, Volume 11, Issue 4
- 291-309 Sustainable business practices and financial performance during pre- and post-SDG adoption periods: a systematic review
by Siti Nurain Muhmad & Rusnah Muhamad - 310-329 The global pricing of environmental, social, and governance (ESG) criteria
by Richard P. Gregory & Jean Garner Stead & Edward Stead - 330-350 A comparative analysis of rural banks’ efficiency between Bali and West Java provinces in Indonesia
by Mokhamad Anwar & Sulaeman Rahman Nidar & Ratna Komara & Layyinaturrobaniyah Layyinaturrobaniyah - 351-385 Outcomes of interaction between organizational characteristics and management accounting practice on corporate sustainability: the global management accounting principles (GMAP) approach
by Babajide Michael Oyewo
July 2021, Volume 11, Issue 3
- 199-213 Is ESG the succeeding risk factor?
by Moinak Maiti - 214-232 Extending ‘environment-risk weighted assets’: EU taxonomy and banking supervision
by Lorenzo Esposito & Giuseppe Mastromatteo & Andrea Molocchi - 233-252 Understanding the role of green bonds in advancing sustainability
by Aaron Maltais & Björn Nykvist - 253-275 Fund managers’ investment considerations for K-IFRS-adopted corporates: impact on investment and reinvestment intentions
by Joon-ho Kim & Seung-hye Jung & Jong-pil Yu & June-hyuk Kwon - 276-290 The role of microfinance post trauma: the case of Syria
by Omar Sheikh Osman
April 2021, Volume 11, Issue 2
- 103-122 Does informal economy impede economic growth? Evidence from an emerging economy
by Nguyen Vinh Khuong & Malik Shahzad Shabbir & Muhammad Safdar Sial & Thai Hong Thuy Khanh - 123-142 The quest for a sustainable social finance business model: is peer-to-peer lending the legitimate heir to cooperative banking?
by Eleonora Broccardo & Graziano Coller & Luca Erzegovesi - 143-162 A Scientometric analysis of literature on Green Banking (1995-March 2019)
by Prerana Sarma & Arup Roy - 163-186 The social performance of microfinance investment vehicles
by Julia Meyer & Annette Krauss - 187-198 Institutions and financial development in ECOWAS
by Olufemi Adewale Aluko & Muazu Ibrahim
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