Latest Research in Corporate Reputation Dynamics
126 research papers · 2026 median publication year
Top Research Topics in Corporate Reputation Dynamics
- Corporate Social Responsibility Reporting — 23 papers
- Intelligence, Security, War Strategy — 13 papers
- Market Dynamics and Volatility — 9 papers
- Financial Markets and Investment Strategies — 7 papers
- Competitive and Knowledge Intelligence — 4 papers
- Auditing, Earnings Management, Governance — 4 papers
- Gender Diversity and Inequality — 4 papers
- Corporate Finance and Governance — 3 papers
- Capital Investment and Risk Analysis — 3 papers
- Econometrics — 3 papers
Highest-Cited Papers
- Applying explainable AI to analyze size-sorted ESG portfolios
- Numbers Don’t Lie … Or Do They? Vitol’s Investment Dilemma in the Hascol Case
- The Gestalt of Corporate Reputation and its Impact on Shareholder Value: Anna Karenina vs. The Great Gatsby
- MODEL ADOPTION #2383: REJECT — LEDGER BENCH: Apply filter: Quarterly phase = ACCUMULATION — improves win rate from 31.2% — E8 Intelligence Research
- MODEL ADOPTION #2383: REJECT — LEDGER BENCH: Apply filter: Quarterly phase = ACCUMULATION — improves win rate from 31.2% — E8 Intelligence Research
- Corporate social responsibility and credit spreads: evidence from family firms in China
- Minority State Ownership and Compensation Outcomes in Privately Owned Enterprises: Evidence From China
- The conditional value of ESG: Purpose–Performance paradox and economic outcomes in Indian firms
- When telling the truth isn’t enough: How organizational stability paltering creates misleading impressions of financial viability
- Non-linear Dynamics of Economic Policy Uncertainty and Bank Stock Returns in India
- Board Gender Composition and Environmental Decoupling: International Evidence
- Liquidity in housing markets: the effect of news sentiment on time on market
- Strategic Reporting Through Counterpoised Disclosure: Evidence From the Biopharma Industry
- ESG performance and financial performance in banks: a comparative analysis of China and the USA under environmental uncertainty and COVID-19
- Special Issue: “Advancements in Actuarial Mathematics and Insurance Risk Management”
- The identification of systemically important financial institutions from the aspect of “Too Connected to Fail”
- The impact of ESG performance on earnings management in Malaysia – the moderating role of board gender diversity
- The effect of ESG assurance on ESG reporting consistency: evidence from textual similarity
- Seeing Is More than Believing: ESG Performance Aspiration Gap and Institutional Investors’ Site Visits
- A Quantile Model of Firm Investment
Sub-Regions
- Financial Markets and Investment Strategies — 117 papers
- Credit Risk and Financial Regulations — 31 papers
- Intelligence, Security, War Strategy — 25 papers
- Market Dynamics and Volatility — 23 papers
- Sustainable Finance and Green Bonds — 23 papers
- Corporate Social Responsibility Reporting — 17 papers