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“Bridging the theory & practice of investment management”
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1st Quarter (2018)

0 comments / 2018-01-16 / the JOIM

Practitioner’s Digest

Volume 16, No. 1, 2018 Practitioner’s Digest View PDF… Read more

0 comments / 2018-01-16 / the JOIM

Book Review – Portfolio Construction, Measurement, and Efficiency Essays in Honor of Jack Treynor

Volume 16, No. 1, 2018 Portfolio Construction, Measurement, and Efficiency Essays in Honor of Jack Treynor By John B. Guerard (Review by Savannah Smith) View PDF… Read more

0 comments / 2018-01-16 / the JOIM

Carbon Footprint and Productivity: Does the ā€œEā€ in ESG Capture Efficiency

Volume 16, No. 1, 2018 Gerald T. Garvey, Mohanaraman Iyer and Joanna Nash This paper analyses the now-popular carbon ratio (emissions relative to sales) as a way to select stocks. We document that reduced carbon ratios are associated with stronger future profitability and positive stock returns in a global universe of stocks. But why? The… Read more

0 comments / 2018-01-16 / the JOIM

A Blueprint for Integrating ESG into Equity Portfolios

Volume 16, No. 1, 2018 Jennifer Bender, Todd Bridges, Chen He, Anna Lester and Xiaole Sun Environmental, social and governance (ESG) offers a source of new and potentially valuable information for investors, impacting both potential returns and risk. Growing data availability has created the opportunity to integrate ESG into equity portfolios for a variety of… Read more

0 comments / 2018-01-16 / the JOIM

Establishing ESG as Risk Premia

Volume 16, No. 1,Ā  2018 Julia L. Pollard, Matthew W. Sherwood and Ryan Grad Klobus This seminal research provides statistically significant evidence for the empirical identification of Environmental, Social and Governance (ESG) as a factor of risk premium when integrated within an equity portfolio. This study purposes to establish that the conceptual development, adoption and… Read more

0 comments / 2018-01-16 / the JOIM

Environmental, Social, and Governance Criteria: Why Investors Should Care

Ravi Jagannathan, Ashwin Ravikumar and Marco Sammon Volume 16, No. 1, 2018 We argue that even money managers who care only about risks and returns are likely to benefit from incorporating Environmental, Social, and Governance (ESG) criteria into their investment process. ESG-related issues can cause sudden regulatory changes and shifts in consumer tastes, resulting in… Read more

0 comments / 2018-01-16 / the JOIM

Assessing Risk Through Environmental, Social and Governance Exposures

Vol. 16, No 1, 2018 Jeff Dunn, Shaun Fitzgibbons and Lukasz Pomorski We discuss risk and return implications of incorporating environmental, social and governance (ESG) considerations in an investment strategy and argue that ESG exposures may be informative about the risks of individual firms. We show empirically that stocks with worst ESG exposures have volatility… Read more

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