Citation Impact

Citing Papers

Anticompetitive Effects of Common Ownership
2018 Standout
Environmental Impacts of Conventional and Sustainable Investment Funds Compared Using Input‐Output Life‐Cycle Assessment
2007
Why Do Central Banks Monitor So Many Inflation Indicators
2001
A Regional Dynamic General-Equilibrium Model of Alternative Climate-Change Strategies
2016 StandoutNobel
The Nature of Theory in Information Systems1
2006 Standout
Reverse logistics and closed-loop supply chain: A comprehensive review to explore the future
2014 Standout
Navigating the confluence of artificial intelligence and education for sustainable development in the era of industry 4.0: Challenges, opportunities, and ethical dimensions
2024 Standout
GIMS—Software for asset market experiments
2015
Recent developments in Life Cycle Assessment
2009 Standout
Valuing American Options by Simulation: A Simple Least-Squares Approach
2001 Standout
Are green bonds priced differently from conventional bonds?
2018
Deciphering the Liquidity and Credit Crunch 2007–2008
2009 Standout
Quantifying Transient 3D Dynamical Phenomena of Single mRNA Particles in Live Yeast Cell Measurements
2013 StandoutNobel
Throwing Away a Billion Dollars: The Cost of Suboptimal Exercise Strategies in the Swaption Market
1999
Socially responsible investments: Institutional aspects, performance, and investor behavior
2008
Does green investment improve energy firm performance?
2021
Active Ownership
2015
Robust tests of forward exchange market efficiency with empirical evidence from the 1920s
1996
Corporate goodness and shareholder wealth
2014
The Wages of Social Responsibility
2009
Research on Organizations and the Natural Environment, 1992-Present: A Review
2007
Deal Structuring in Philanthropic Venture Capital Investments: Financing Instrument, Valuation and Covenants
2010
Corporate Social Performance and Stock Returns: UK Evidence from Disaggregate Measures
2006
Role of big data analytics in developing sustainable capabilities
2018 Standout
Inferring Future Volatility from the Information in Implied Volatility in Eurodollar Options: A New Approach
1997
Protective or counter-productive? labour market institutions and the effect of immigration on EU natives
2003 StandoutNobel
Extreme Correlation of International Equity Markets
2001 Standout
What We Know and Don’t Know About Corporate Social Responsibility
2012 Standout
Investigating consistency of judgement across sustainability analyst organizations
2011
Does corporate social responsibility affect the cost of capital?
2011 Standout
Information Architecture and Electronic Market Performance
2002
Recent advancements in supercapacitor technology
2018 Standout
From the Stockholder to the Stakeholder: How Sustainability Can Drive Financial Outperformance
2014
The Performance of Socially Responsible Investment - A Review of Scholarly Studies Published 2008-2010
2011
Specification Analysis of Affine Term Structure Models
1998
The Influence of Primary Study Characteristics on the Performance Differential Between Socially Responsible and Conventional Investment Funds: A Meta-Analysis
2012
Corporate Social Responsibility, Customer Satisfaction, and Market Value
2006 Standout
Speculation and the volatility of foreign currency exchange rates
1987
Modeling and Forecasting Realized Volatility
2003 Standout
Corporate Sustainability Performance and Idiosyncratic Risk: A Global Perspective
2009
Corporate Social Responsibility: Is it Rewarded by the Corporate Bond Market? A Critical Note
2010
Do ESG Controversies Matter for Firm Value? Evidence from International Data
2016
Does environmental performance affect financial performance? A meta-analysis
2010
The CO 2 emissions-income nexus: Evidence from rich countries
2011
Corporate Sustainability: First Evidence on Materiality
2016
Institutional investors and corporate social responsibility
2019
SRI Funds: Nomen est Omen
2008
Did reverse logistics practices hit the triple bottom line of Chinese manufacturers?
2013
How economic growth, renewable electricity and natural resources contribute to CO2 emissions?
2017 Standout
Corporate social responsibility and financial performance
2005
A Positive Theory of Social Entrepreneurship
2012 Standout
Transform Analysis and Asset Pricing for Affine Jump-diffusions
2000 Standout
The Impact of Corporate Sustainability on Organizational Processes and Performance
2014 Standout
Nexus between Industry 4.0 and environmental sustainability: A Fourier panel bootstrap cointegration and causality analysis
2022
Investor Psychology and Asset Pricing
2001 Standout
Research on 'Responsible Investment': An Influential Literature Analysis Comprising a Rating, Characterisation, Categorisation and Investigation
2009
35 years of socially responsible investing (SRI) research: General trends over time
2012
The Effect of Socially Responsible Investing on Portfolio Performance
2007
Corporate Social and Financial Performance Re-Examined: Industry Effects in a Linear Mixed Model Analysis
2011
Corporate social responsibility and access to finance
2013 Standout
Corporate Green Bonds
2018
The Effects of Corporate Social Performance on the Cost of Corporate Debt and Credit Ratings
2014
Corporate green bonds
2021 Standout
Integrating multiple ESG investors' preferences into sustainable investment: A fuzzy multicriteria methodological approach
2017
Summary Indicators of Product Market Regulation with an Extension to Employment Protection Legislation
2000
Does It Pay to Be Green? A Systematic Overview
2008
In Search of Attention
2011 Standout
Financial effects of corporate social responsibility: a literature review
2014
Vice versus virtue investing around the world
2014
Altruism and egoism in investment decisions
2019
Altruism versus Egoism in Investment Decisions
2017
Does it Really Hurt to be Responsible?
2013
Sensitivity analysis of Values at Risk
2000
Doing Well by Doing Good? Green Office Buildings
2010
A GENERAL METHODOLOGY TO PRICE AND HEDGE DERIVATIVES IN INCOMPLETE MARKETS
2000
Market transparency, liquidity externalities, and institutional trading costs in corporate bonds☆
2006
Environmental risks and opportunities for countries along the Belt and Road: Location choice of China's investment
2018 Standout
Discounting the distant future: How much does model selection affect the certainty equivalent rate?
2007
ESG Integration and the Investment Management Process: Fundamental Investing Reinvented
2015 Standout
An Introduction to Econophysics: Correlations and Complexity in Finance
2000 Standout
Natural‐Rate Theory and OECD Unemployment
1998 StandoutNobel
The Economist as Engineer: Game Theory, Experimentation, and Computation as Tools for Design Economics
2002 StandoutNobel
Environmental Reporting and its Relation to Corporate Environmental Performance
2011
Invited Editorial: A Natural-Resource-Based View of the Firm
2010 Standout
No contagion, only globalization and flight to quality
2012
The Link Between SRI and Financial Performance: Effects and Moderators
2013
The Importance of Climate Risks for Institutional Investors
2019 Standout
The effect of pro-environmental preferences on bond prices: Evidence from green bonds
2018 Standout
The stocks at stake: Return and risk in socially responsible investment
2008
Financial performance of socially responsible investing (SRI): what have we learned? A meta‐analysis
2014
Why and How Investors Use ESG Information: Evidence from a Global Survey
2018
Every Little Helps? ESG News and Stock Market Reaction
2017
Modelling green and lean supply chains: An eco-efficiency perspective
2017
Sustainable investing in equilibrium
2020
Forecasting Volatility in Financial Markets: A Review
2003 StandoutNobel
Modeling the conditional distribution of interest rates as a regime-switching process
1996
Are Socially Responsible Behaviors Paid Off Equally? A Cross‐cultural Analysis
2013
The Challenge of Measuring Financial Impacts From Investments in Corporate Social Performance
2009
Quantifying the uncertainty about the half‐life of deviations from PPP
2002
Conditional value-at-risk for general loss distributions
2002 Standout
Behind This Structural Boom: The Role of Asset Valuations
1999 StandoutNobel
ESG and financial performance: aggregated evidence from more than 2000 empirical studies
2015 Standout
Was It Real? The Exchange Rate‐Interest Differential Relation over the Modern Floating‐Rate Period
1988 Standout
Quantile Regression under Misspecification, with an Application to the U.S. Wage Structure
2006 StandoutNobel
Social identification and investment decisions
2015
THE ECONOMIC IMPACTS OF VOLUNTARY ENVIRONMENTAL PERFORMANCE OF FIRMS: A CRITICAL REVIEW
2009
Copula-based semiparametric models for multivariate time series
2012
The concept of environmental performance and its measurement in empirical studies
2011
A Data‐Analytic Method for Forecasting Next Record Catastrophe Loss
2004
Modeling Term Structures of Defaultable Bonds
1999 Standout
The Economic Value of Corporate Eco-Efficiency
2006
Environmental and Financial Performance of Fossil Fuel Firms: A Closer Inspection of their Interaction
2016
Specification Analysis of Affine Term Structure Models
2000
The Influence of Firm Size on the ESG Score: Corporate Sustainability Ratings Under Review
2019 Standout
Informational content of prices set using excess demand: The natural experiment of Czech voucher privatization
2001
Determining Benefits and Costs for Future Generations
2013 StandoutScienceNobel
OR/MS research in disaster operations management
2005 Standout
Throwing away a billion dollars: the cost of suboptimal exercise strategies in the swaptions market
2001
Physicists attempt to scale the ivory towers of finance
1999
Sustainable Development and Financial Markets
2015
Measuring the Effects of Monetary Policy: A Factor-Augmented Vector Autoregressive (FAVAR) Approach
2005 StandoutNobel
Dissecting green returns
2022 Standout
Evaluating replicability of laboratory experiments in economics
2016 StandoutScience
Role of green innovation and supply chain management in driving sustainable corporate performance
2022 Standout
Social Preferences and Portfolio Choice
2013
Corporate Social Responsibility, Customer Satisfaction, and Market Value
2006 Standout
Evaluating predictive performance of value-at-risk models in emerging markets: a reality check
2006
Corporate Environmental Responsibility and the Cost of Capital: International Evidence
2016
The price of ethics and stakeholder governance: The performance of socially responsible mutual funds
2008
Why Do Investors Hold Socially Responsible Mutual Funds?
2017

Works of Kees Koedijk being referenced

Purchasing Power Parity and the Euro Area
2004
Capturing downside risk in financial markets: the case of the Asian Crisis
1999
Do social factors influence investment behavior and performance? Evidence from mutual fund holdings
2015
Tail Estimates of East European Exchange Rates
1992
The Dynamics of Short-Term Interest Rate Volatility Reconsidered
1997
Bilateral exchange rates and risk premia
1988
Future inflation and the information in international term structures
1995
Market Opening, Regulation and Growth in Europe
1996
Stock Market Quality in the Presence of a Traded Option*
2006
The Eco-Efficiency Premium Puzzle
2005
Selecting copulas for risk management
2007
Increasing correlations or just fat tails?
2007
A tale of values-driven and profit-seeking social investors
2011
Tail-Index Estimates in Small Samples
2001
The Economic Value of Corporate Eco-Efficiency
2010
Stakeholder relations and stock returns: On errors in investors' expectations and learning
2013
The re-emergence of PPP in the 1990s
1998
The tail index of exchange rate returns
1990
Quote Disclosure and Price Discovery in Multiple-Dealer Financial Markets
1999
The pendulum of exchange rate economics
1998
International evidence on ethical mutual fund performance and investment style
2004
Socially Responsible Fixed‐Income Funds
2009
Portfolio selection with limited downside risk
2000
Rankless by CCL
2026