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The impact of carbon neutrality on the investment performance: Evidence from the equity mutual funds in BRICS

Journal of Environmental Management, 2021
Xiangfeng Ji   +2 more
exaly   +2 more sources

Shock Amplification in an Interconnected Financial System of Banks and Investment Funds

Social Science Research Network, 2021
This paper shows how the combined endogenous reaction of banks and investment funds to an exogenous shock can amplify or dampen losses to the financial system compared to results from single-sector stress testing models. We build a new model of contagion
Matthias Sydow   +17 more
semanticscholar   +1 more source

Climate Risk and Financial Stability in the Network of Banks and Investment Funds

Journal of Financial Stability, 2020
We develop a method to analyze the effects on financial stability of the interplay between climate policy shocks and market conditions. We combine the frameworks of the Climate Stress-test with the framework of the network valuation of financial assets ...
Alan Roncoroni   +3 more
semanticscholar   +1 more source

Relative performance of religious and ethical investment funds

, 2020
This paper updates the literature regarding the performance of constrained US mutual funds by looking at the relative performance of Christian mutual funds, socially responsible funds and Islamic funds.
Esther Castro   +3 more
semanticscholar   +1 more source

The Socio-Economic Impacts of Waqf Investment Funds as a Model for Sustainable Financing in Saudi Arabia

Sustainability
Waqf investment funds represent an innovative approach to sustainable finance, integrating Islamic investment principles with contemporary social and economic goals.
F. Elmahgop   +4 more
semanticscholar   +1 more source

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