Pages that link to "Item:Q2246776"
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The following pages link to De-risking of green investments through a green bond market -- empirics and a dynamic model (Q2246776):
Displaying 7 items.
- Is green investment different from grey? Return and volatility spillovers between green and grey energy ETFs (Q2150882) (← links)
- Governmental incentives for Green bonds investment (Q2155563) (← links)
- Asymmetric multifractality, comparative efficiency analysis of Green finance markets: a dynamic study by index-based model (Q2170636) (← links)
- Design of green bonds by double-barrier options (Q2182829) (← links)
- Climate change investment risk: optimal portfolio construction ahead of the transition to a lower-carbon economy (Q2241097) (← links)
- Green investment under time-dependent subsidy retraction risk (Q2246662) (← links)
- The stock performance of green bond issuers during COVID-19 pandemic: the case of China (Q6054312) (← links)