ESG performance and stock idiosyncratic volatility

D Liu, K Gu, W Hu - Finance Research Letters, 2023 - Elsevier
Focusing on ESG-responsible investment, this paper identifies the causal effect of ESG
performance on stock idiosyncratic volatility in a typical emerging market, China. Based on …

[HTML][HTML] Business model and ESG pillars: The impacts on banking default risk

E Palmieri, GB Ferilli, Y Altunbas, V Stefanelli… - International Review of …, 2024 - Elsevier
The recent banks' failures have highlighted the importance of improving banking sector
supervision, emphasizing the need to adopt a holistic approach to risk assessment based on …

[HTML][HTML] Climate change and geopolitical conflicts: The role of ESG readiness

A Alam, H Banna, AW Alam, MBU Bhuiyan… - Journal of …, 2024 - Elsevier
This study examines the relationship between climate change vulnerability and geopolitical
risk using data on 42 countries from 1995 to 2021. Utilising two distinct indices, the climate …

Assessing the influence of ESG score, industry, and stock index on firm default risk: A sustainable bank lending perspective

E Palmieri, GB Ferilli, V Stefanelli, EF Geretto… - Finance Research …, 2023 - Elsevier
Using a European sample of 211 listed firms from 2013 to 2022, we analyze the mitigation
effect on firms' probability of default (PD) provided by the influence of ESG performance …

ESG investment and bank efficiency: Evidence from China

Q Cao, T Zhu, W Yu - Energy Economics, 2024 - Elsevier
Although environmental, social, and governance (ESG) investment is essential to achieving
sustainable development, previous studies usually focused on the relation between ESG …

Corporate social responsibility, stakeholders' governance and idiosyncratic risk

T Wang, B Yang - Finance Research Letters, 2023 - Elsevier
This paper examines the relationship between corporate social responsibility (CSR) and
idiosyncratic risk and tests the impact of stakeholder governance on the relationship …

How do irresponsibility attributions affect organisational reputation? Evidence from the banking industry

G Zasuwa, G Wesołowski - International Journal of Bank Marketing, 2023 - emerald.com
Purpose This study examines how potentially irresponsible banking operations affect
organisational reputation. A moderated mediation model is applied to explain how major …

[HTML][HTML] Does Firm Size Matter for ESG Risk? Cross-Sectional Evidence from the Banking Industry

PM Bolibok - Sustainability, 2024 - mdpi.com
The ambiguous evidence regarding the linkages between firm size and ESG risk in the
relevant literature justifies the need for their further scientific investigation. A particularly …

Being famous matters: Evidence from cash flow volatility

MS Ahmed, M Elnahass - International Review of Financial Analysis, 2024 - Elsevier
Corporate reputation is a paramount driver of value creation and competitive advantage in
the 21st century. Motivated by the importance of cash flows and the under-researched …

[HTML][HTML] Trust matters: A global perspective on the influence of trust on bank market risk

O Abdelsalam, A Chantziaras, NL Joseph… - Journal of International …, 2024 - Elsevier
This paper examines the role of societal and organizational trust in mitigating market risk
within the banking sector. Using a global sample of 10,616 bank-year observations across …