Latest Research in Sustainable Finance and Green Bonds
23 research papers · 2026 median publication year
Top Research Topics in Sustainable Finance and Green Bonds
- Corporate Social Responsibility Reporting — 6 papers
- Market Dynamics and Volatility — 3 papers
- Sustainable Finance and Green Bonds — 2 papers
- Complex Systems and Time Series Analysis — 2 papers
- Corporate Identity and Reputation — 1 papers
- Public Relations and Crisis Communication — 1 papers
- Theoretical Economics — 1 papers
- Probability — 1 papers
- Risk and Portfolio Optimization — 1 papers
- Intellectual Property and Patents — 1 papers
Highest-Cited Papers
- When telling the truth isn’t enough: How organizational stability paltering creates misleading impressions of financial viability
- The Virtual Pivot: Adaptive Investor Relations in the Face of Disruption
- Broad Validity of the First-Order Approach in Moral Hazard
- Linear Risk Sharing in Community-Based Insurance: Ruin Reduction in the Compound Poisson Model
- Optimal Corporate Social Responsibility and Asymmetric Deviation Effects on Financial Performance: Evidence From an Emerging Market
- Incredulous creditors: ESG momentum, credibility barriers, and state-contingent pricing in corporate bonds
- Continuous and Monotone Bayesian Nash Equilibrium with Incomplete Information about Player’s Risk Preferences
- The Trade‐Off Between Sustainability Reporting Quality and Corporate Investment Activity: Does Political Stability Matter?
- How Much to Sell and When: Optimal Staged Divestiture of Patent‐Linked Royalty Claims Under Risk, Illiquidity, and Finite Horizon
- ESG Disclosure and Firm Performance: Regional Differences Between Western European and Central and Eastern European Firms
- Risk-Adjusted Performance of ESG ETFs: Benchmark, Geographic, and Market Exposure Analysis
- Oil Revenue Absorption and Macroeconomic Vulnerability: Evidence from a DSGE Model of a Small Open Oil-Exporting Economy
- Relative Geopolitical Positioning and Foreign Direct Investment: Evidence from Cross-Border Capital Allocation
- Institutional uncertainty, household anticipation, and housing asset repricing: evidence from Beijing’s school-access reform
- Does CSR disclosure pay off? Evidence on the economic consequences of CSR reporting from Vietnam’s UPCoM market
- How Firms ‘Speak’ Social: Disclosure Posture as a Stable Strategic Communication Construct in ESG Reporting
- Sustainability Disclosure, Governance, and Corporate Performance: Evidence from Accounting- and Market-Based Measures
- Fuzzy decision-making in asset markets
- Oil Price Vulnerability and Macroeconomic Factors: In the Face of Foreign Exchange Shortages in Bolivia
- Oil Price Vulnerability and Macroeconomic Factors: In the Face of Foreign Exchange Shortages in Bolivia