Results 201 to 210 of about 1,144,832 (351)
Media Attention to Climate Change and Investor Flows in US Equity Mutual Funds
ABSTRACT This paper investigates how climate‐related news influences mutual fund investor behaviour in the United States. Although prior research has documented the financial relevance of climate risks, little is known about how media attention to climate change shapes capital allocation across mutual funds.
Laura Andreu +3 more
wiley +1 more source
Class-weighted Dempster-Shafer in dual-level fusion for multimodal fake real estate listings detection. [PDF]
Mohd Amin M, Sani NS, Nasrudin MF.
europepmc +1 more source
Leveraged Real Estate Investments by Tax-Exempt and Taxable Investors
Gilbert G. Menna
openalex +1 more source
Prediction on Human Resource of Real Estate Based on the Principle of Metabolism GM(1,1) Model [PDF]
Fang Guo-min
openalex +1 more source
ABSTRACT This paper investigates innovative financing strategies to mobilise private capital for climate adaptation, emphasising Hong Kong's role in advancing efforts across Southeast Asia. Using expert interviews and case studies, it addresses two key questions: which financial instruments can strengthen public–private collaboration, and what best ...
Laurence L. Delina +5 more
wiley +1 more source
ABSTRACT This study assesses the degree of alignment with and eligibility to the EU Taxonomy of non‐financial firms and investigates its relationship with their Cost of Debt (CoD). The empirical analysis is based on a sample of 306 non‐financial firms listed on the Stoxx Europe 600 Index across 15 European countries. Taxonomy‐related data were manually
Fabio Rizzato +3 more
wiley +1 more source
Real estate valuation with multi-source image fusion and enhanced machine learning pipeline. [PDF]
Deng L.
europepmc +1 more source
Boosting the Accuracy of Commercial Real Estate Appraisals: An Interpretable Machine Learning Approach. [PDF]
Deppner J +3 more
europepmc +1 more source
ESG Assurance and Dividends: Evidence From 18 Countries in Africa
ABSTRACT This study examines the impact of environmental, social and governance (ESG) assurance on a firm's dividend payout policies within the unique African context. Using a staggered difference‐in‐differences (DiD) model, this study examines how voluntary third‐party assurance of ESG reports influences firms' dividend payout policies compared to ...
Samuel Karanja Kogi, June Cao
wiley +1 more source

