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The stocks at stake: Return and risk in socially responsible investment

Journal of Banking & Finance · 2008 · Vol. 32(12) · pp. 2646–2654
Corporate Social Responsibility ReportingAuditing, Earnings Management, GovernanceFinancial Markets and Investment StrategiesSocially responsible investingStock (firearms)EconomicsPortfolioFinancial economicsExcess returnStock marketInvestment strategyMonetary economicsFinance
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References
Common risk factors in the returns on stocks and bonds
Journal of Financial Economics · 1993 · 27,375 citations
A Simple Model of Capital Market Equilibrium with Incomplete Information
The Journal of Finance · 1987 · 5,737 citations
Risk, Return, and Equilibrium: Empirical Tests
Journal of Political Economy · 1973 · 14,974 citations
On Persistence in Mutual Fund Performance
The Journal of Finance · 1997 · 16,824 citations
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