Latest Research in Corporate Reputation Dynamics

126 research papers · 2026 median publication year

Top Research Topics in Corporate Reputation Dynamics

Highest-Cited Papers

  1. Applying explainable AI to analyze size-sorted ESG portfolios
  2. Numbers Don’t Lie … Or Do They? Vitol’s Investment Dilemma in the Hascol Case
  3. The Gestalt of Corporate Reputation and its Impact on Shareholder Value: Anna Karenina vs. The Great Gatsby
  4. MODEL ADOPTION #2383: REJECT — LEDGER BENCH: Apply filter: Quarterly phase = ACCUMULATION — improves win rate from 31.2% — E8 Intelligence Research
  5. MODEL ADOPTION #2383: REJECT — LEDGER BENCH: Apply filter: Quarterly phase = ACCUMULATION — improves win rate from 31.2% — E8 Intelligence Research
  6. Corporate social responsibility and credit spreads: evidence from family firms in China
  7. Minority State Ownership and Compensation Outcomes in Privately Owned Enterprises: Evidence From China
  8. The conditional value of ESG: Purpose–Performance paradox and economic outcomes in Indian firms
  9. When telling the truth isn’t enough: How organizational stability paltering creates misleading impressions of financial viability
  10. Non-linear Dynamics of Economic Policy Uncertainty and Bank Stock Returns in India
  11. Board Gender Composition and Environmental Decoupling: International Evidence
  12. Liquidity in housing markets: the effect of news sentiment on time on market
  13. Strategic Reporting Through Counterpoised Disclosure: Evidence From the Biopharma Industry
  14. ESG performance and financial performance in banks: a comparative analysis of China and the USA under environmental uncertainty and COVID-19
  15. Special Issue: “Advancements in Actuarial Mathematics and Insurance Risk Management”
  16. The identification of systemically important financial institutions from the aspect of “Too Connected to Fail”
  17. The impact of ESG performance on earnings management in Malaysia – the moderating role of board gender diversity
  18. The effect of ESG assurance on ESG reporting consistency: evidence from textual similarity
  19. Seeing Is More than Believing: ESG Performance Aspiration Gap and Institutional Investors’ Site Visits
  20. A Quantile Model of Firm Investment

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L2 Region - - 2026 Sep Q3

Corporate Reputation Dynamics

126 papers

Top Topics (10)

Corporate Social Responsibility Reporting23
Intelligence, Security, War Strategy13
Market Dynamics and Volatility9
Financial Markets and Investment Strategies7
Competitive and Knowledge Intelligence4
Auditing, Earnings Management, Governance4
Gender Diversity and Inequality4
Corporate Finance and Governance3
Capital Investment and Risk Analysis3
Econometrics3

Top Publications (20)

1.Applying explainable AI to analyze size-sorted ESG portfolios2.Numbers Don’t Lie … Or Do They? Vitol’s Investment Dilemma in the Hascol Case3.The Gestalt of Corporate Reputation and its Impact on Shareholder Value: Anna Karenina vs. The Great Gatsby4.MODEL ADOPTION #2383: REJECT — LEDGER BENCH: Apply filter: Quarterly phase = ACCUMULATION — improves win rate from 31.2% — E8 Intelligence Research5.MODEL ADOPTION #2383: REJECT — LEDGER BENCH: Apply filter: Quarterly phase = ACCUMULATION — improves win rate from 31.2% — E8 Intelligence Research6.Corporate social responsibility and credit spreads: evidence from family firms in China7.Minority State Ownership and Compensation Outcomes in Privately Owned Enterprises: Evidence From China8.The conditional value of ESG: Purpose–Performance paradox and economic outcomes in Indian firms9.When telling the truth isn’t enough: How organizational stability paltering creates misleading impressions of financial viability10.Non-linear Dynamics of Economic Policy Uncertainty and Bank Stock Returns in India11.Board Gender Composition and Environmental Decoupling: International Evidence12.Liquidity in housing markets: the effect of news sentiment on time on market13.Strategic Reporting Through Counterpoised Disclosure: Evidence From the Biopharma Industry14.ESG performance and financial performance in banks: a comparative analysis of China and the USA under environmental uncertainty and COVID-1915.Special Issue: “Advancements in Actuarial Mathematics and Insurance Risk Management”16.The identification of systemically important financial institutions from the aspect of “Too Connected to Fail”17.The impact of ESG performance on earnings management in Malaysia – the moderating role of board gender diversity18.The effect of ESG assurance on ESG reporting consistency: evidence from textual similarity19.Seeing Is More than Believing: ESG Performance Aspiration Gap and Institutional Investors’ Site Visits20.A Quantile Model of Firm Investment

Sub-Regions (6)

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