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 5, issue 4, 2015
- UK pension sustainability and fund manager governance: agent duties to the principal pp. 205-209

- Kira Shevchenko, Richard McManus and Janet Haddock-Fraser
- ESG and financial performance: aggregated evidence from more than 2000 empirical studies pp. 210-233

- Gunnar Friede, Timo Busch and Alexander Bassen
- Capital structure of social purpose companies -- a panel data analysis pp. 234-254

- Aleksandra Szymańska, Stijn Van Puyvelde and Marc Jegers
Volume 5, issue 3, 2015
- Understanding mechanisms in the social investment market: what are venture philanthropy funds financing and how? pp. 103-120

- Wolfgang Spiess-Knafl and Jessica Aschari-Lincoln
- Economic development and banking sector growth in Pakistan pp. 121-135

- Ahsin Shahid, Hibba Saeed and S. Muhammad Ali Tirmizi
- Measuring impact in impact investing: an analysis of the predominant strength that is also its greatest weakness pp. 136-154

- Neil Reeder, Andrea Colantonio, John Loder and Gemma Rocyn Jones
- A push-and-pull factor model for environmental management accounting: a contingency perspective pp. 155-177

- Susanne Baumann, Othmar M Lehner and Heimo Losbichler
- Socially Responsible Investment Funds: a review of research priorities and strategic options pp. 178-204

- Maike van Dijk-de Groot and Andre H.J. Nijhof
Volume 5, issue 1-2, 2015
- Incorporating environmental criteria into credit risk management in Bangladeshi banks pp. 1-15

- Olaf Weber, Asadul Hoque and Mohammad Ayub Islam
- Sustainable investment in Korea does not catch a cold when the United States sneezes pp. 16-26

- Wei Rong Ang
- A model for integrated capital disclosure and performance reporting: separating objects from value pp. 27-47

- Kurt Ramin and Stephen Lew
- Electric utility regulation and investment in green energy resources pp. 48-64

- Richard A. Michelfelder
- Who captures the "green value" in the US office market? pp. 65-84

- Nikodem Szumilo and Franz Fuerst
- Recognizing corporate citizenship: market reactions pp. 85-102

- Miwako Nitani, Brian Carriere and Adam Bleackley
Volume 4, issue 4, 2014
- Information, knowledge, and investing in offshore financial markets pp. 299-320

- Gordon L. Clark
- Socially responsible investment and financial institution's response to secondary stakeholder requests pp. 321-336

- Tim Benijts
- Financial effects of corporate social responsibility: a literature review pp. 337-350

- Michael Schröder
- Climate finance in an age of uncertainty pp. 351-356

- Timothy Cadman
- Financializing development: toward a sympathetic critique of sovereign development funds pp. 357-371

- Adam D. Dixon and Ashby H.B. Monk
Volume 4, issue 3, 2014
- Should pension funds' fiduciary duty be extended to include social, ethical and environmental concerns? A study of beneficiaries' preferences pp. 213-229

- Magnus Jansson, Joakim Sandberg, Anders Biel and Tommy Gärling
- Let's talk: an analysis of the "vote vs. negotiated withdrawal" decision for social activist environmental health shareholder resolutions pp. 230-248

- John Byrd and Elizabeth S. Cooperman
- The rise and spread of sustainable investing in the Netherlands pp. 249-265

- Sander Quak, Johan Heilbron and Jessica Meijer
- An analysis of the role of finance in energy transitions pp. 266-271

- Rohit Pathania and Arnab Bose
- Investing in the next generation of infrastructure for sustainable energy in Canada pp. 272-279

- Jatin Nathwani and Artie W. Ng
- Asset characteristics of solar renewable energy certificates: market solution to encourage environmental sustainability pp. 280-296

- Richard A. Michelfelder
- The long and necessary death of socially responsible investing pp. 297-298

- Cary Krosinsky
Volume 4, issue 2, 2014
- Finance and ethics pp. 91-92

- Matthew Haigh
- A framework to assist the financial community in incorporating water risks into their investment decisions pp. 93-109

- Ioannis E. Nikolaou, George Kourouklaris and Thomas A. Tsalis
- An equation with many variables: unhiding the relationship between sustainability and investment performance pp. 110-126

- Benjamin Tobias Peylo and Stefan Schaltegger
- Are sustainable investment funds worth the effort? pp. 127-146

- Laura Mervelskemper, Daniel Kaltofen and Stefan Stein
- Towards a new framework to account for environmental risk in sovereign credit risk analysis pp. 147-160

- Margot Hill Clarvis, Martin Halle, Ivo Mulder and Masaru Yarime
- An ecological/evolutionary perspective on high-frequency trading pp. 161-175

- Bogdan Dragos and Inigo Wilkins
- A cross-country analysis to investigate the true role of microfinance institutions in developed and developing economies pp. 176-191

- Muhammad Sajid Saeed
- Dilemma of sustainable lending pp. 192-209

- Felipe Calderon and Li Choy Chong
- Call for Papers for the Social Finance and Sustainable Finance Stream: The 14th Finance, Risk and Accounting Perspectives Conference Oriel College, University of Oxford 22nd-24th September 2014 Conference pages http://www.acrn.eu/finance pp. 210-210

- Matthew Haigh
Volume 4, issue 1, 2014
- The financial sector's impact on sustainable development pp. 1-8

- Olaf Weber
- Sustainability challenges and the ambivalent role of the financial sector pp. 9-20

- Arnim Wiek and Olaf Weber
- The impact of corporate governance on sustainability performance pp. 21-37

- Paul Shrivastava and Amr Addas
- From integration to impact - a new investment climate for Germany's SRI landscape pp. 38-60

- Thomas Steiauf and Henry Schäfer
- Private governance and sustainable finance pp. 61-75

- Jason Thistlethwaite
- Social responsibility as a core business model in banking: a case study in the financial sector pp. 76-89

- Katrin Kaufer
Volume 3, issue 4, 2013
- Sustainable investment, Dickens, Malthus and Marx pp. 287-302

- Neil Eccles
- Markets, metaphors, and mania pp. 303-313

- Elton McGoun and Jason Makansi
- Swimming against the tide: ethical banks as countermovement pp. 314-332

- Daniel Tischer
- Learning from mistakes: can the Global Financial Crisis translate into social progress? pp. 333-343

- Yves Gendron
- Rethinking money and the state: a semiotic turn pp. 344-359

- David Gleicher
- The social construction perspective on ESG issues in SRI indices pp. 360-373

- Mary Ho
Volume 3, issue 3, 2013
- Institutional investors, climate change and human rights pp. 177-183

- Kristian Alm and Riikka Sievänen
- 'The dark side of the moon': a theoretical framework of complicity applied to the Norwegian Government Pension Fund Global pp. 184-203

- Kristian Alm
- The non-response of pension funds to climate change and human rights pp. 204-222

- Riikka Sievänen
- Social responsibility and the political: studying the politics of social responsibility in institutional investment pp. 223-237

- Ville-Pekka Sorsa
- What type of controlling investors impact on which elements of corporate social responsibility? pp. 238-263

- William Rees and Tatiana Rodionova
- An analysis of sovereign wealth and pension funds' ethical investment guidelines and their commitment thereto pp. 264-282

- Ole Alexander Jensen and Peter Seele
Volume 3, issue 2, 2013
- Impact investing and responsible investing: what does it mean? pp. 71-74

- Tessa Hebb
- Institutional impact investing: practice and policy pp. 75-94

- David Wood, Ben Thornley and Katie Grace
- Interrogating the theory of change: evaluating impact investing where it matters most pp. 95-110

- Edward T. Jackson
- Impact investing: a preliminary analysis of emergent primary and secondary exchange platforms pp. 111-123

- Marguerite Mendell and Erica Barbosa
- Lessons in operationalizing social finance: the case of Vancouver City Savings Credit Union pp. 124-137

- Sean Geobey and Olaf Weber
- Meeting the challenge of impact investing: how can contracting practices secure social impact without sacrificing performance? pp. 138-154

- Madeleine Evans
- Enabling social enterprise through regulatory innovation: a case study from the United Kingdom pp. 155-175

- Nicholas E. Florek
Volume 3, issue 1, 2013
- Fiduciary responsibility in retail funds: clarifying the prospects for SRI pp. 1-16

- Benjamin J. Richardson
- Modern portfolio theory and risk management: assumptions and unintended consequences pp. 17-37

- Mehdi Beyhaghi and James P. Hawley
- Carbon markets in times of VUCA: a weak-form efficiency investigation of the phase II EU ETS pp. 38-56

- Scott J. Niblock and Jennifer L. Harrison
- Credit risk modelling and sustainable agriculture: asset evaluation and rural carbon revenue pp. 57-69

- Emmanuel Benjamin
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