Show simple item record

dc.contributor.authorBrzeszczyński, Janusz
dc.contributor.authorGajdka, Jerzy
dc.contributor.authorPietraszewski, Piotr
dc.contributor.authorSchabek, Tomasz
dc.date.accessioned2022-12-07T09:35:08Z
dc.date.available2022-12-07T09:35:08Z
dc.date.issued2022
dc.identifier.issn1544-6123
dc.identifier.urihttp://hdl.handle.net/11089/44502
dc.description.abstractIn this study, we investigate changes in risk of socially responsible investments (SRI) companies in the periods before and during the COVID-19 pandemic relying on a broad dataset covering SRI indices from 35 markets analyzed between 2016 and 2021. Our results provide evidence that the systematic risk of the SRI firms, measured by the beta coefficient, increased in most countries around the world during the COVID-19 period. However, some markets in our sample show remarkable resilience and stability in terms of the changes in their risk patterns. In particular, the systematic risk of SRI companies from the markets in East Asia decreased during the COVID-19 pandemic, which contrasts with substantial increases in the systematic risk of the SRI firms from the SRI indices in all other regions around the world.pl_PL
dc.description.sponsorshipThis work was supported by the research funding from the National Science Center / Narodowe Centrum Nauki (NCN) in Poland (project number: 2019/33/B/HS4/01095).pl_PL
dc.language.isoenpl_PL
dc.publisherElsevierpl_PL
dc.relation.ispartofseriesFinance Research Letters;
dc.rightshttp://creativecommons.org/licenses/by/4.0/pl_PL
dc.subjectsustainabilitypl_PL
dc.subjectstock marketpl_PL
dc.subjectriskpl_PL
dc.subjectasymmetric betapl_PL
dc.subjectsocially responsible investments (SRI)pl_PL
dc.subjectCOVID-19 pandemicpl_PL
dc.titleHas the risk of socially responsible investments (SRI) companies stocks changed in the COVID-19 period? International evidencepl_PL
dc.typeArticlepl_PL
dc.page.number1-10pl_PL
dc.contributor.authorAffiliationUniwersytet Łódzki, Wydział Ekonomiczno-Socjologiczny, Katedra Ekonomii Przemysłu i Rynku Kapitałowego (Nieaktualne od 01.11.2017r.)pl_PL
dc.identifier.eissn1544-6131
dc.contributor.authorEmailjanusz.brzeszczynski@eksoc.uni.lodz.plpl_PL
dc.contributor.authorEmailjerzy.gajdka@uni.lodz.plpl_PL
dc.contributor.authorEmailpiotr.pietraszewski@uni.lodz.plpl_PL
dc.contributor.authorEmailtomasz.schabek@uni.lodz.plpl_PL
dc.identifier.doi10.1016/j.frl.2022.102986
dc.relation.volume49pl_PL
dc.disciplineekonomia i finansepl_PL


Files in this item

Thumbnail

This item appears in the following Collection(s)

Show simple item record