Latest Research in Sustainable Finance and Green Bonds

23 research papers · 2026 median publication year

Top Research Topics in Sustainable Finance and Green Bonds

Highest-Cited Papers

  1. When telling the truth isn’t enough: How organizational stability paltering creates misleading impressions of financial viability
  2. The Virtual Pivot: Adaptive Investor Relations in the Face of Disruption
  3. Broad Validity of the First-Order Approach in Moral Hazard
  4. Linear Risk Sharing in Community-Based Insurance: Ruin Reduction in the Compound Poisson Model
  5. Optimal Corporate Social Responsibility and Asymmetric Deviation Effects on Financial Performance: Evidence From an Emerging Market
  6. Incredulous creditors: ESG momentum, credibility barriers, and state-contingent pricing in corporate bonds
  7. Continuous and Monotone Bayesian Nash Equilibrium with Incomplete Information about Player’s Risk Preferences
  8. The Trade‐Off Between Sustainability Reporting Quality and Corporate Investment Activity: Does Political Stability Matter?
  9. How Much to Sell and When: Optimal Staged Divestiture of Patent‐Linked Royalty Claims Under Risk, Illiquidity, and Finite Horizon
  10. ESG Disclosure and Firm Performance: Regional Differences Between Western European and Central and Eastern European Firms
  11. Risk-Adjusted Performance of ESG ETFs: Benchmark, Geographic, and Market Exposure Analysis
  12. Oil Revenue Absorption and Macroeconomic Vulnerability: Evidence from a DSGE Model of a Small Open Oil-Exporting Economy
  13. Relative Geopolitical Positioning and Foreign Direct Investment: Evidence from Cross-Border Capital Allocation
  14. Institutional uncertainty, household anticipation, and housing asset repricing: evidence from Beijing’s school-access reform
  15. Does CSR disclosure pay off? Evidence on the economic consequences of CSR reporting from Vietnam’s UPCoM market
  16. How Firms ‘Speak’ Social: Disclosure Posture as a Stable Strategic Communication Construct in ESG Reporting
  17. Sustainability Disclosure, Governance, and Corporate Performance: Evidence from Accounting- and Market-Based Measures
  18. Fuzzy decision-making in asset markets
  19. Oil Price Vulnerability and Macroeconomic Factors: In the Face of Foreign Exchange Shortages in Bolivia
  20. Oil Price Vulnerability and Macroeconomic Factors: In the Face of Foreign Exchange Shortages in Bolivia
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L3 Region - - 2026 Sep Q3

Sustainable Finance and Green Bonds

23 papers

Top Topics (10)

Corporate Social Responsibility Reporting6
Market Dynamics and Volatility3
Sustainable Finance and Green Bonds2
Complex Systems and Time Series Analysis2
Corporate Identity and Reputation1
Public Relations and Crisis Communication1
Theoretical Economics1
Probability1
Risk and Portfolio Optimization1
Intellectual Property and Patents1

Top Publications (20)

1.When telling the truth isn’t enough: How organizational stability paltering creates misleading impressions of financial viability2.The Virtual Pivot: Adaptive Investor Relations in the Face of Disruption3.Broad Validity of the First-Order Approach in Moral Hazard4.Linear Risk Sharing in Community-Based Insurance: Ruin Reduction in the Compound Poisson Model5.Optimal Corporate Social Responsibility and Asymmetric Deviation Effects on Financial Performance: Evidence From an Emerging Market6.Incredulous creditors: ESG momentum, credibility barriers, and state-contingent pricing in corporate bonds7.Continuous and Monotone Bayesian Nash Equilibrium with Incomplete Information about Player’s Risk Preferences8.The Trade‐Off Between Sustainability Reporting Quality and Corporate Investment Activity: Does Political Stability Matter?9.How Much to Sell and When: Optimal Staged Divestiture of Patent‐Linked Royalty Claims Under Risk, Illiquidity, and Finite Horizon10.ESG Disclosure and Firm Performance: Regional Differences Between Western European and Central and Eastern European Firms11.Risk-Adjusted Performance of ESG ETFs: Benchmark, Geographic, and Market Exposure Analysis12.Oil Revenue Absorption and Macroeconomic Vulnerability: Evidence from a DSGE Model of a Small Open Oil-Exporting Economy13.Relative Geopolitical Positioning and Foreign Direct Investment: Evidence from Cross-Border Capital Allocation14.Institutional uncertainty, household anticipation, and housing asset repricing: evidence from Beijing’s school-access reform15.Does CSR disclosure pay off? Evidence on the economic consequences of CSR reporting from Vietnam’s UPCoM market16.How Firms ‘Speak’ Social: Disclosure Posture as a Stable Strategic Communication Construct in ESG Reporting17.Sustainability Disclosure, Governance, and Corporate Performance: Evidence from Accounting- and Market-Based Measures18.Fuzzy decision-making in asset markets19.Oil Price Vulnerability and Macroeconomic Factors: In the Face of Foreign Exchange Shortages in Bolivia20.Oil Price Vulnerability and Macroeconomic Factors: In the Face of Foreign Exchange Shortages in Bolivia
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