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Sovereign Bonds and Socially Responsible Investment

Bastien Drut ()

Journal of Business Ethics, 2010, vol. 92, issue 1, 145 pages

Keywords: extra-financial ratings; mean–variance efficiency; portfolio selection; responsible investing; socially responsible investment; sovereign bonds; spanning tests (search for similar items in EconPapers)
Date: 2010
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Working Paper: Sovereign bonds and socially responsible investment (2010)
Working Paper: Sovereign Bonds and Socially Responsible Investment (2009) Downloads
Working Paper: Sovereign Bonds and Socially Responsible Investment (2009) Downloads
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DOI: 10.1007/s10551-010-0638-3

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