publicações selecionadas
-
artigo académico
- Do Sustainability Signals Diverge? An Analysis of Labeling Schemes for Socially Responsible Investments. Business & SocIETy. 2024
- The environmental and financial performance of green energy investments: European evidence. Ecological Economics. 2022
- Do Islamic fundamental weighted indices outperform their conventional counterparts? An empirical investigation during the crises in the MENA region. Eurasian Economic Review. 2020
- Do fundamental portfolios outperform in the MENA equity markets?. International Journal of Islamic and Middle Eastern Finance and Management. 2019
- THE (UN)CONDITIONAL RELATION RISK FACTORS MARKET, SIZE AND VALUE: EVIDENCE FROM FIVE EUROPEAN COUNTRIES. Revista de Gestao Financas e Contabilidade. 2016
- The conditional performance of US mutual funds over different market regimes: do different types of ethical screens matter?. Financial Markets and Portfolio Management. 2013
- Tests of the correlation between portfolio performance measures. Journal of Financial Transformation. 2012
- The performance of European socially responsible funds. Journal of Business Ethics. 2009
- The Persistence of European Bond Fund Performance: Does Conditioning Information Matter?. International Journal of Business. 2005
- Bond return predictability: The European market. International Journal of Finance. 2004
- Conditioning Information and European Bond Fund Performance. European Financial Management. 2003
- Conditioning information on portfolio performance evaluation: A reexamination of performance persistence in the Portuguese mutual fund market. Finance India. 2002
-
artigo de revista
- Does the choice of fund performance measure matter?. Investment Analysts Journal. 2020
- Common Risk Factors in Stock Returns in the MENA Region. Asian Journal of Business and Accounting. 2019
- Socially responsible investing and the performance of Eurozone corporate bond portfolios. Corporate Social Responsibility and Environmental Management. 2019
- The performance of socially responsible equity mutual funds: Evidence from Sweden. Business Ethics: A European Review. 2018
- The performance of US and European green funds in different market conditions. Journal of Cleaner Production. 2016
- Socially responsible investing in the global market: The performance of US and European funds. International Journal of Finance & Economics. 2012
- Time varying betas and the unconditional distribution of asset returns. Quantitative Finance. 2012