Latest Research in Corporate Social Responsibility Reporting

19 research papers · 2026 median publication year

Top Research Topics in Corporate Social Responsibility Reporting

Highest-Cited Papers

  1. The Determinant of Sustainability Report Disclosure (SRD) in companies listed on the LQ45 Index on the Indonesia Stock Exchange
  2. The Relationship between the Brent Price and Export: Turkish Case
  3. The financial benefits of sustainability: analyzing the impact of sustainable finance on capital costs for London stock exchange firms
  4. Sustainability as a Defensive Strategy: ESG, Risk Exposure, and Returns in US Stocks
  5. Long memory in consumer sentiment and consumer dollar purchasing power in the United States from 1978 to 2025
  6. Reconstructing Large Scale Production Networks
  7. Bridging the ESG Governance Maturity Gap in Western Balkan Banking: EU Regulatory Pressure, Assurance Gaps and a Blockchain-Enabled Transition Framework
  8. Unveiling the relationship between CEO characteristics and carbon emissions disclosure in Indonesian firms
  9. The profit-bias identity in sports betting: bookmaker profit as the public's prediction error
  10. The aggregate value assessment of green stocks in Borsa Istanbul
  11. How Important Are Sectoral Shocks in Australia?
  12. EU Taxonomy eligibility, sustainability performance and systematic market risk in the airline industry
  13. Mean-field equilibrium of heterogeneous agents under market impact
  14. Snapshots of Acquisition Methodologies: Binary Sustainable Equities Analysis
  15. Marginal Persistence and Dynamic Copula Dependence in Sovereign Rating Migration Counts: A Discrete Interval-Likelihood MAGMAR Analysis
  16. Stock market’s reaction to ESG initiatives: a deeper dive through an event study
  17. Alpha Without Access: Execution Constraints in a Bonding-Curve Market
  18. Trade Uncertainty Under Geopolitical Risks: A Cross-Country Analysis of Mechanisms and Heterogeneity
  19. Regulation by Rating: Can Market-Based Rating Improve Corporate Non-Financial Performance?
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L3 Region - - 2026 Sep Q3

Corporate Social Responsibility Reporting

19 papers

Top Topics (10)

Corporate Social Responsibility Reporting5
Market Dynamics and Volatility2
Consumer Market Behavior and Pricing2
Corporate Governance and Financial Management1
General Economics1
Applications1
Sustainable Finance and Green Bonds1
COVID-19 Pandemic Impacts1
Aviation Industry Analysis and Trends1
Trading and Market Microstructure1

Top Publications (19)

1.The Determinant of Sustainability Report Disclosure (SRD) in companies listed on the LQ45 Index on the Indonesia Stock Exchange2.The Relationship between the Brent Price and Export: Turkish Case3.The financial benefits of sustainability: analyzing the impact of sustainable finance on capital costs for London stock exchange firms4.Sustainability as a Defensive Strategy: ESG, Risk Exposure, and Returns in US Stocks5.Long memory in consumer sentiment and consumer dollar purchasing power in the United States from 1978 to 20256.Reconstructing Large Scale Production Networks7.Bridging the ESG Governance Maturity Gap in Western Balkan Banking: EU Regulatory Pressure, Assurance Gaps and a Blockchain-Enabled Transition Framework8.Unveiling the relationship between CEO characteristics and carbon emissions disclosure in Indonesian firms9.The profit-bias identity in sports betting: bookmaker profit as the public's prediction error10.The aggregate value assessment of green stocks in Borsa Istanbul11.How Important Are Sectoral Shocks in Australia?12.EU Taxonomy eligibility, sustainability performance and systematic market risk in the airline industry13.Mean-field equilibrium of heterogeneous agents under market impact14.Snapshots of Acquisition Methodologies: Binary Sustainable Equities Analysis15.Marginal Persistence and Dynamic Copula Dependence in Sovereign Rating Migration Counts: A Discrete Interval-Likelihood MAGMAR Analysis16.Stock market’s reaction to ESG initiatives: a deeper dive through an event study17.Alpha Without Access: Execution Constraints in a Bonding-Curve Market18.Trade Uncertainty Under Geopolitical Risks: A Cross-Country Analysis of Mechanisms and Heterogeneity19.Regulation by Rating: Can Market-Based Rating Improve Corporate Non-Financial Performance?
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