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Mutual Fund Performance and Flows During the COVID-19 Crisis. (2020). Pastor, Lubos ; Vorsatz, Blair M.
In: NBER Working Papers.
RePEc:nbr:nberwo:27551.

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  1. Does ESG affect stock market dependence? An empirical exploration of S&P 1200 companies shows the divergent nature of E–S–G pillars. (2024). Horvath, Matu ; Gyonyor, Lucie Stank.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:69:y:2024:i:c:s0275531924000229.

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  2. Socially responsible investments: doing good while doing well in developed versus emerging markets?. (2024). Frommel, Michael ; Lestari, Jenjang Sri.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:69:y:2024:i:c:s0275531924000217.

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  3. How does oil market volatility impact mutual fund performance?. (2024). Vivian, Andrew ; Calice, Giovanni ; Alsubaiei, Bader Jawid.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:89:y:2024:i:pa:p:1601-1621.

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  4. The risk and return of impact investing funds. (2024). Lyu, Tianshu ; Posenau, Kelly ; Jeffers, Jessica.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:161:y:2024:i:c:s0304405x2400151x.

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  5. Sustainability or performance? Ratings and fund managers’ incentives. (2024). Giannetti, Mariassunta ; Li, Rachel ; Gantchev, Nickolay.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:155:y:2024:i:c:s0304405x24000540.

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  6. Sustainable investing in times of crisis: Evidence from bond holdings and the COVID-19 pandemic. (2024). Fatica, Serena ; Panzica, Roberto.
    In: Journal of Banking & Finance.
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  7. ESG activity and bank lending during financial crises. (2024). TARAZI, Amine ; Danisman, Gamze Ozturk.
    In: Journal of Financial Stability.
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  8. Sustainability ratings and fund performance: New evidence from European ESG equity mutual funds. (2024). Koutsokostas, Drosos ; Papathanasiou, Spyros.
    In: Finance Research Letters.
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  9. Willingness to take risks for sustainability during the COVID-19 pandemic. (2024). Meyer, Julia.
    In: Finance Research Letters.
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  10. The mutual funds puzzle and the elusive von Neumann-Morgenstern preference relation. (2024). David, OR ; Sonenshine, Ralph ; Shelef, Amit ; Nisani, Doron.
    In: International Review of Financial Analysis.
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  11. Does systemic risk in the fund markets predict future economic downturns?. (2024). Liu, Xiao-Xing ; Zhou, Dong-Hai.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:92:y:2024:i:c:s1057521924000218.

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  12. ESG investment preference and fund vulnerability. (2024). Wang, HU.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:91:y:2024:i:c:s1057521923005185.

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  13. Retail fund flows and performance: Insights from supervisory data. (2024). Hodula, Martin ; Bajzik, Josef ; Szabo, Milan.
    In: Emerging Markets Review.
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  14. Assessing and addressing the coronavirus-induced economic crisis: Evidence from 1.5 billion sales invoices. (2024). Liu, LU ; Liao, LI ; Chen, Zhuo ; Wang, Zhengwei.
    In: China Economic Review.
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  15. A review on ESG investing: Investors’ expectations, beliefs and perceptions. (2024). Stefanova, Denitsa ; Kräussl, Roman ; Oladiran, Tobi ; Krussl, Roman.
    In: Journal of Economic Surveys.
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  17. A review on ESG investing: Investors expectations, beliefs and perceptions. (2023). Kräussl, Roman ; Stefanova, Denitsa ; Oladiran, Tobi ; Kraussl, Roman.
    In: CFS Working Paper Series.
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  18. The real effect of sociopolitical racial animus: Mutual fund manager performance during the AAPI Hate. (2023). Zou, Hong ; Luo, Yuchen ; Jiang, Wei ; Agarwal, Vikas.
    In: CFR Working Papers.
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  19. Greenium, credit rating, and the COVID-19 pandemic. (2023). Hachenberg, Britta ; Arat, Emre ; Schiereck, Dirk ; Kiesel, Florian.
    In: Journal of Asset Management.
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  20. From Outbreak to Vaccination: An Analysis of the Commercial Property Market Reaction to COVID-19 in Malaysia. (2023). Mohd, Shazida Jan ; Che, Edie Erman ; Wong, Woei Chyuan ; Musaddad, Hafirda Akma ; Mat, Mohd Yushairi.
    In: International Real Estate Review.
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  21. Stopping or Continuing to Follow Best Practices in Terms of ESG during the COVID-19 Pandemic? An Exploratory Study of European Listed Companies. (2023). Tiscini, Riccardo ; Izzo, Maria Federica ; Savio, Riccardo ; Bifulco, Giuseppe Maria.
    In: Sustainability.
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  22. Does the Shield Effect of CSR Work in Crises? Evidence in Korea. (2023). Kim, Jungmu ; Jahan, Fariha.
    In: Sustainability.
    RePEc:gam:jsusta:v:15:y:2023:i:11:p:8940-:d:1161865.

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  23. How does the COVID-19 pandemic change the disposition effect in fund investors?. (2023). Zheng, Yijing ; Yu, Bin ; Li, Hongze ; Jin, Xuejun.
    In: Pacific-Basin Finance Journal.
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  24. Exploring the asymmetric impact of sustainability reporting on financial performance in the utilities sector: A longitudinal comparative analysis. (2023). Arenas-Parra, Mar ; Mendaa-Cuervo, Cristina ; Remo-Diez, Nieves.
    In: Utilities Policy.
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  25. Disaster resilience and asset prices. (2023). Wagner, Christian ; Pagano, Marco ; Zechner, Josef.
    In: Journal of Financial Economics.
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  26. Climate uncertainty and information transmissions across the conventional and ESG assets. (2023). Demirer, Riza ; Rognone, Lavinia ; Pham, Linh ; Cepni, Oguzhan.
    In: Journal of International Financial Markets, Institutions and Money.
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  27. The role of ESG performance in firms resilience during the COVID-19 pandemic: Evidence from Nordic firms. (2023). Yahya, Habeeb.
    In: Global Finance Journal.
    RePEc:eee:glofin:v:58:y:2023:i:c:s104402832300100x.

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  28. What does ESG risk premia tell us about mutual fund sustainability levels: A difference-in-differences analysis. (2023). Treku, Daniel ; Dunbar, Kwamie ; Hoover, Jack ; Sarnie, Robert.
    In: Finance Research Letters.
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  29. Do diverse and inclusive workplaces benefit investors? An Empirical Analysis on Europe and the United States. (2023). Bax, Karoline.
    In: Finance Research Letters.
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  30. Issuing bonds during the Covid-19 pandemic: Was there an ESG premium?. (2023). Ferriani, Fabrizio.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:88:y:2023:i:c:s1057521923001692.

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  31. Fund ESG performance and downside risk: Evidence from China. (2023). Zong, Zhe ; Zhang, Yue.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:86:y:2023:i:c:s105752192300042x.

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  32. Fund fragility: the role of investor base. (2023). Breckenfelder, Johannes ; Allaire, Nolwenn ; Hoerova, Marie.
    In: Working Paper Series.
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  33. Do non-banks need access to the lender of last resort? Evidence from fund runs. (2023). Hoerova, Marie ; Breckenfelder, Johannes.
    In: Working Paper Series.
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  34. Who creates and who bears flow externalities in mutual funds?. (2022). Wilke, Hannes ; Jank, Stephan ; Fricke, Daniel.
    In: Discussion Papers.
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  35. Modeling Distress in US High Yield Mutual Funds Before and During the Covid-19 Pandemic. (2022). Katarzyna, Perez ; Richard, Van Horne ; Ukasz, Szymczyk.
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  36. Linking green supply chain management practices with competitiveness during covid 19: The role of big data analytics. (2022). Luqman, Adeel ; Gao, Bohong ; Zhang, Qingyu.
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  37. The conceptualization of environmental, social and governance risks in portfolio studies A systematic literature review. (2022). Lagasio, Valentina ; Santulli, Rosalia ; Gallucci, Carmen.
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  38. The market reaction to syndicated loan announcements before and during the COVID-19 pandemic and the role of corporate governance. (2022). Kiosses, Nikolaos ; Noulas, Athanasios ; Tampakoudis, Ioannis.
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  39. Can FinTech reduce disparities in access to finance? Evidence from the Paycheck Protection Program. (2022). Liebersohn, Jack ; Erel, Isil.
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  40. Music sentiment and stock returns around the world. (2022). Edmans, Alex ; Indriawan, Ivan ; Garel, Alexandre ; Fernandez-Perez, Adrian.
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    RePEc:eee:jfinec:v:145:y:2022:i:2:p:234-254.

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  41. Chasing the ESG factor. (2022). Tarelli, Andrea ; Lioui, Abraham.
    In: Journal of Banking & Finance.
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  42. ESG, liquidity, and stock returns. (2022). Luo, DI.
    In: Journal of International Financial Markets, Institutions and Money.
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  43. Recalibration of priorities: Investor preference and Russia-Ukraine conflict. (2022). Singh, Harminder ; Patel, Ritesh.
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  44. Is Corporate Social Responsibility investing a free lunch? The relationship between ESG, tail risk, and upside potential of stocks before and during the COVID-19 crisis. (2022). Stephan, Andreas ; Sahamkhadam, Maziar ; Loof, Hans.
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  45. Did the COVID-19 pandemic (really) positively impact the IPO Market? An Analysis of information uncertainty. (2022). Chen, Mengxi ; Baig, Ahmed S.
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  46. A factor approach to the performance of ESG leaders and laggards. (2022). Fain, Mate ; Naffa, Helena.
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  47. ESG ETFs and the COVID-19 stock market crash of 2020: Did clean funds fare better?. (2022). de Boyrie, Maria E ; Pavlova, Ivelina.
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  48. Sustainable mutual fund performance and flow in the recent years through the COVID-19 pandemic. (2022). Parida, Sitikantha ; Fang, Fei.
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  49. Green investments: A luxury good or a financial necessity?. (2022). Yousaf, Imran ; Demirer, Riza ; Suleman, Muhammad Tahir.
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  50. In the mood for sustainable funds?. (2022). Indriawan, Ivan ; Garel, Alexandre ; Fernandez-Perez, Adrian.
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  51. Connecting the COVID-19 pandemic, environmental, social and governance (ESG) investing and calls for ‘harmonisation’ of sustainability reporting. (2022). Abhayawansa, Subhash ; Adams, Carol A.
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  52. Are ethical and green investment funds more resilient?. (2022). Salakhova, Dilyara ; Kapadia, Sujit ; Giuzio, Margherita ; Capot, Laura-Dona.
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  53. Information governance in sustainable finance. (2022). Packer, Frank ; Aramonte, Sirio.
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  54. Issuing bonds during the Covid-19 pandemic: is there an ESG premium?. (2022). Ferriani, Fabrizio.
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  55. Disaster resilience and asset prices. (2021). Pagano, Marco ; Zechner, Josef ; Wagner, Christian.
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  56. Impact of COVID-19 on the performance of emerging market mutual funds: evidence from India. (2021). Maheen, Muhammad Sali.
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  57. How Did Depositors Respond to COVID-19?. (2021). Xie, Wensi ; Tai, Mingzhu ; Lin, Chen ; Levine, Ross.
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  58. Is Hard and Soft Information Substitutable? Evidence from Lockdown. (2021). Massa, Massimo ; Bai, Jennie.
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  59. Sustainable investing in times of crisis: evidence from bond holdings and the COVID-19 pandemic. (2021). Panzica, Roberto ; Fatica, Serena.
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  60. Investors’ Delight? Climate Risk in Stock Valuation during COVID-19 and Beyond. (2021). Nerlinger, Martin ; Jacob, Andrea.
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  61. ESG Ratings and Stock Performance during the COVID-19 Crisis. (2021). Posch, Peter ; Ekkenga, Jens ; Engelhardt, Nils.
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  62. Return and volatility transmission between emerging markets and US debt throughout the pandemic crisis. (2021). Gubareva, Mariya ; Riaz, Yasir ; Manel, Youssef ; Umar, Zaghum.
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  63. Financial fragility in the COVID-19 crisis: The case of investment funds in corporate bond markets. (2021). Su, Ali Horta ; Hortasu, Ali ; Goldstein, Itay ; Falato, Antonio.
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  64. Corporate immunity to the COVID-19 pandemic. (2021). Lin, Chen ; Levine, Ross ; Xie, Wensi ; Ding, Wenzhi.
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  65. From taper tantrum to Covid-19: Portfolio flows to emerging markets in periods of stress. (2021). Ferriani, Fabrizio.
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  66. Who should be afraid of infections? Pandemic exposure and the cross-section of stock returns. (2021). Zaremba, Adam ; Cakici, Nusret.
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  67. The quest for multidimensional financial immunity to the COVID-19 pandemic: Evidence from international stock markets. (2021). Demir, Ender ; Aharon, David Y ; Tzouvanas, Panagiotis ; Kizys, Renatas ; Zaremba, Adam.
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  68. Recession managers and mutual fund performance. (2021). Zhou, Si ; Lasfer, Meziane ; Song, Wei ; Chen, Jie.
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  69. Does CSR matter in times of crisis? Evidence from the COVID-19 pandemic. (2021). Guedhami, Omrane ; Gong, Zhaoran ; el Ghoul, Sadok ; Bae, Kee-Hong.
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  70. Music Sentiment and Stock Returns Around the World. (2021). Edmans, Alex ; Indriawan, Ivan ; Garel, Alexandre ; Fernandez, Adrian .
    In: CEPR Discussion Papers.
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  71. Does FinTech Substitute for Banks? Evidence from the Paycheck Protection Program. (2020). Liebersohn, Jack ; Erel, Isil.
    In: NBER Working Papers.
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  72. Where do institutional investors seek shelter when disaster strikes? Evidence from COVID-19. (2020). Wagner, Alexander F ; Ramelli, Stefano ; Matos, Pedro Pinto ; Glossner, Simon.
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  73. Repercussions of Pandemics on Markets and Policy. (). Hansen, Lars Peter.
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  21. Haddad, Valentin, Alan Moreira, and Tyler Muir, 2020, When selling becomes viral: Disruptions in debt markets in the COVID-19 crisis and the Fed’s response, Working paper, UCLA.
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  22. Hartzmark, Samuel M., and Abigail B. Sussman, 2019, Do investors value sustainability? A natural experiment examining ranking and fund flows, Journal of Finance 74, 2789–2837.

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