Journal of Sustainable Finance & Investment
2011 - 2025
Current editor(s): Dr Matthew Haigh From Taylor & Francis Journals Bibliographic data for series maintained by Chris Longhurst (). Access Statistics for this journal.
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Volume 8, issue 4, 2018
- Engagement on ESG issues by Dutch pension funds: is it reaching its full potential? pp. 301-322

- Frank AJ Wagemans, CSA (Kris) van Koppen and Arthur PJ Mol
- Transparency and disclosure – do policy frameworks enhance financial centre reputation? pp. 323-328

- Mike Wardle and Simon Mills
- In search of really ethical real estate funds for retail investors pp. 329-348

- Quintin G Rayer
- Psychological characteristics of potential SRI investors and its motivation in Japan: an experimental approach pp. 349-367

- Miwa Nakai, Tomonori Honda, Nariaki Nishino and Kenji Takeuchi
Volume 8, issue 3, 2018
- Incentivizing the direction of multi-capital toward inclusive capitalism pp. 203-212

- Todd Cort
- Predicting pension beneficiaries’ behaviour when offered a socially responsible and impact investment portfolio pp. 213-241

- George Apostolakis, Gert Van Dijk, Robert J. Blomme, Frido Kraanen and Athanasios Papadopoulos
- Sustainable finance ratings as the latest symptom of ‘rating addiction’ pp. 242-258

- Daniel Cash
- Cost implications of microfinance regulation: lessons from Ghana pp. 259-274

- Ayi Gavriel Ayayi and James Peprah
- The role of multilateral climate funds in urban transitions between 1994 and 2014 pp. 275-299

- Amar Causevic and Sujeetha Selvakkumaran
Volume 8, issue 2, 2018
- Developing an evidence base for assessing natural capital risks and dependencies in lending to Australian wheat farms pp. 95-113

- Theodor F. Cojoianu and Francisco Ascui
- Microfinance and credit rationing: does the microfinance type matter? pp. 114-131

- Luis Diaz-Serrano and Frank G. Sackey
- Patience pays off – corporate social responsibility and long-term stock returns pp. 132-157

- Gregor Dorfleitner, Sebastian Utz and Maximilian Wimmer
- Biodiversity and natural capital: investor influence on company reporting and performance pp. 158-184

- T. E. Lambooy, K. E. H. Maas, S. van ‘t Foort and R. van Tilburg
- Investors and stranded asset risk: evidence from shareholder responses to carbon capture and sequestration (CCS) events pp. 185-202

- John Byrd and Elizabeth S. Cooperman
Volume 8, issue 1, 2018
- Time for new financing instruments? A market-oriented framework to finance environmentally friendly practices in EU agriculture pp. 1-25

- Marco Migliorelli and Philippe Dessertine
- The risk-adjusted return potential of integrating ESG strategies into emerging market equities pp. 26-44

- Matthew W. Sherwood and Julia L. Pollard
- Timing effects of corporate social responsibility disclosure: an experimental study with investment professionals pp. 45-71

- Markus Arnold, Alexander Bassen and Ralf Frank
- Is ESG a systematic risk factor for US equity mutual funds? pp. 72-93

- Ick Jin
Volume 7, issue 4, 2017
- Analysis of the impact of achieving NDC on public climate finance pp. 309-334

- Ick Jin and Yunhee Kim
- Climate mitigation finance in leveraging private investments in Indonesia pp. 335-359

- Aidy Halimanjaya
- Environmentally conscious investors and portfolio choice decisions pp. 360-378

- Johnson Kakeu
- Editorial Board pp. ebi-ebi

- The Editors
Volume 7, issue 3, 2017
- Climate mitigation policy as a system solution: addressing the risk cost of carbon pp. 233-274

- Delton B. Chen, Joel van der Beek and Jonathan Cloud
- Examining anomalies in Islamic equity market of Pakistan pp. 275-289

- Khalil Jebran and Shihua Chen
- Sustainable competitiveness: redefining the future with technology and innovation pp. 290-306

- Kalpana Mathur and Akanksha Berwa
- Corrigendum pp. 307-307

- The Editors
Volume 7, issue 2, 2017
- Toxic sustainable companies: a critique on the shortcomings of current corporate sustainability ratings and a definition of ‘financial toxicity’ pp. 139-146

- Peter Seele and Marc Chesney
- What is the impact of private and public R&D on clean technology firms’ performance? An international perspective pp. 147-168

- Catherine Boulatoff and Carol Marie Boyer
- Disruptive innovation, stranded assets and forecasting: the rise and rise of renewable energy pp. 169-187

- Jemma Green and Peter Newman
- Does corporate value affect the relationship between Corporate Social Responsibility and stock returns? pp. 188-196

- Roger C. Y. Chen, Shih-Wei Hung and Chen-Hsun Lee
- Explaining the relationship between firm performance and corporate governance of Dutch non-life insurance companies: Dutch mutual and commercial companies compared pp. 197-231

- Sebsatiaan Lambalk and Frank Jan de Graaf
Volume 7, issue 1, 2017
- Introduction to special issue: stranded assets and the environment pp. 1-13

- Ben Caldecott
- Game theory and corporate governance: conditions for effective stewardship of companies exposed to climate change risks pp. 14-36

- Lucas Kruitwagen, Kaveh Madani, Ben Caldecott and Mark H. W. Workman
- Assessing the sources of stranded asset risk: a proposed framework pp. 37-53

- Bob Buhr
- Investment consequences of the Paris climate agreement pp. 54-63

- Howard Covington
- A comparative analysis of the anti-Apartheid and fossil fuel divestment campaigns pp. 64-81

- Chelsie Hunt, Olaf Weber and Truzaar Dordi
- Transition risks and market failure: a theoretical discourse on why financial models and economic agents may misprice risk related to the transition to a low-carbon economy pp. 82-98

- Jakob Thomä and Hugues Chenet
- Blindness to risk: why institutional investors ignore the risk of stranded assets pp. 99-113

- Nicholas Silver
- Social and asocial learning about climate change among institutional investors: lessons for stranded assets pp. 114-137

- Elizabeth S. Harnett
- Erratum pp. 138-138

- The Editors
Volume 6, issue 4, 2016
- On the relevance of low-carbon stock indices to tackle climate change pp. 247-262

- Manuel Coeslier, Céline Louche and Jean-François Hétet
- Is it risky to go green? A volatility analysis of the green bond market pp. 263-291

- Linh Pham
- ESG factors and risk-adjusted performance: a new quantitative model pp. 292-300

- N. C. Ashwin Kumar, Camille Smith, Leïla Badis, Nan Wang, Paz Ambrosy and Rodrigo Tavares
- Editorial Board pp. ebi-ebi

- The Editors
Volume 6, issue 3, 2016
- The construction of an investment portfolio using stochastic programming pp. 151-160

- Audrius Kabašinskas and Lina Kadikinaitė
- Allocating climate mitigation finance: a comparative analysis of five major green donors pp. 161-185

- Aidy Halimanjaya
- Influences for using sustainability information in the investment decision-making of non-professional investors pp. 186-210

- Andrea Hafenstein and Alexander Bassen
- Climate change and the fiduciary duties of pension fund trustees – lessons from the Australian law pp. 211-244

- Sarah Barker, Mark Baker-Jones, Emilie Barton and Emma Fagan
- Journal of Sustainable Finance & Investment (JSFI) Special Section on Risk Management and Sustainability in the Financial Sector pp. 245-246

- The Editors
Volume 6, issue 2, 2016
- What has failed: microfinance or evaluation methods? pp. 85-94

- Sefa Awaworyi Churchill and Ahmed Salim Nuhu
- Integrating ESG into valuation models and investment decisions: the value-driver adjustment approach pp. 95-111

- Willem Schramade
- A systematic review of literature about finance and sustainability pp. 112-147

- Maria Carolina Rezende de Carvalho Ferreira, Vinicius Amorim Sobreiro, Herbert Kimura and Flavio Luiz de Moraes Barboza
Volume 6, issue 1, 2016
- The risk of social responsibility -- is it systematic? pp. 1-14

- Gregor Dorfleitner, Gerhard Halbritter and Mai Nguyen
- Crossing the energy efficiency chasm: an assessment of the barriers to institutional investment at scale, a UK perspective pp. 15-37

- Martin Parker and Peter Guthrie
- Social performance and sustainability of Indian microfinance institutions: an interrogation pp. 38-50

- Jesu Raju Thomas and Jyothi Kumar
- The influence of environmental NGOs on project finance: a case study of activism, development and Australia’s Great Barrier Reef pp. 51-66

- Evan Hamman
- Legitimacy and accountability in the global governance of large-scale agricultural land investments pp. 67-83

- Hope Johnson
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