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Auswahl der wissenschaftlichen Literatur zum Thema „Extra-financial rating“
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Zeitschriftenartikel zum Thema "Extra-financial rating"
Su, Rongjia, Chunping Liu und Weili Teng. „THE HETEROGENEOUS EFFECTS OF CSR DIMENSIONS ON FINANCIAL PERFORMANCE – A NEW APPROACH FOR CSR MEASUREMENT“. Journal of Business Economics and Management 21, Nr. 4 (15.05.2020): 987–1009. http://dx.doi.org/10.3846/jbem.2020.12394.
Der volle Inhalt der QuelleCox, Savannah. „Inscriptions of resilience: Bond ratings and the government of climate risk in Greater Miami, Florida“. Environment and Planning A: Economy and Space 54, Nr. 2 (10.11.2021): 295–310. http://dx.doi.org/10.1177/0308518x211054162.
Der volle Inhalt der QuelleLandi, Catello Giovanni, Valerio Rapone, Danilo Tuccillo und Andrea Rey. „Does Ethics Reward on Public Markets: Empirical Evidences Ten Years After the Great Recession“. International Journal of Business Administration 10, Nr. 3 (28.03.2019): 1. http://dx.doi.org/10.5430/ijba.v10n3p1.
Der volle Inhalt der QuelleLandi, Giovanni, und Mauro Sciarelli. „Towards a more ethical market: the impact of ESG rating on corporate financial performance“. Social Responsibility Journal 15, Nr. 1 (04.02.2019): 11–27. http://dx.doi.org/10.1108/srj-11-2017-0254.
Der volle Inhalt der QuelleRoshchinа, E. V., und T. V. Vasiuta. „RATING OF THE COMPETITIVENESS OF KETCHUPS SALES IN REPUBLIC OF BELARUS“. Food Industry: Science and Technology 14, Nr. 1(51) (11.03.2020): 69–78. http://dx.doi.org/10.47612/2073-4794-2021-14-1(51)-69-78.
Der volle Inhalt der QuelleKondrat'eva, N. „Transformation of EU Financial Regulation“. World Economy and International Relations 66, Nr. 10 (2022): 81–92. http://dx.doi.org/10.20542/0131-2227-2022-66-10-81-92.
Der volle Inhalt der QuelleSweeney, Cary, und Rachel K. Bell. „BENEFICENCE, COMPANIONSHIP AND FINANCES AS MOTIVATORS FOR PARTICIPATION IN INTERGENERATIONAL HOME SHARING“. Innovation in Aging 3, Supplement_1 (November 2019): S962. http://dx.doi.org/10.1093/geroni/igz038.3489.
Der volle Inhalt der QuelleVelu, Shubashini Rathina, Vinayakumar Ravi und Kayalvily Tabianan. „Multi-Lexicon Classification and Valence-Based Sentiment Analysis as Features for Deep Neural Stock Price Prediction“. Sci 5, Nr. 1 (15.02.2023): 8. http://dx.doi.org/10.3390/sci5010008.
Der volle Inhalt der QuelleKatarachia, Androniki, Electra Pitoska, Grigoris Giannarakis und Elpida Poutoglidou. „The drivers of corporate governance disclosure: the case of Nifty 500 Index“. International Journal of Law and Management 60, Nr. 2 (12.03.2018): 681–700. http://dx.doi.org/10.1108/ijlma-02-2017-0020.
Der volle Inhalt der QuelleWymenga, M., B. Biesma, A. Vincent, O. Dalesio, J. Stigt, H. Smit und H. Groen. „Can baseline complete geriatric assessment (CGA) predict toxicity in elderly non-small cell lung cancer (NSCLC) patients (pts) receiving combination chemotherapy? Results from the first 100 pts in the prospective multicenter NVALT-3 study“. Journal of Clinical Oncology 25, Nr. 18_suppl (20.06.2007): 7537. http://dx.doi.org/10.1200/jco.2007.25.18_suppl.7537.
Der volle Inhalt der QuelleDissertationen zum Thema "Extra-financial rating"
Cassely, Ludovic. „Essais sur la performance sociétale des entreprises dans un contexte international : une approche par la diversité des modèles de capitalisme“. Electronic Thesis or Diss., Toulon, 2020. http://www.theses.fr/2020TOUL2001.
Der volle Inhalt der QuelleIn a global performance approach and in the face of the many challenges of the contemporary world, the company must reconcile the imperatives of profitability, sustainability and performance, but also become "virtuous" with respect to the world around it. This commitment implies constraints in terms of organization, respect for the environment, but also in relations with internal and external stakeholders and more generally with respect to society.In this context, the aim of the thesis is to identify, with the support of societal data provided by Vigéo-Eiris (longitudinal basis 2004-2015), the diversity of factors that can explain the dynamics of societal behaviour in the long term in an international context through belonging to a model of capitalism.With the support of a pluralistic theoretical framework, she tries to answer this objective through three research questions that will allow :- To identify the determinants of societal performance over the long term through a multi-level analysis ;- To measure the impact of the 2008 crisis on the level of societal performance of firms by analyzing the level of involvement of firms before, during and after this period ;- To assess the dynamics of long-term improvement in societal performance by comparing the results of the companies with the best societal ratings with those with lower ratings
Buchteile zum Thema "Extra-financial rating"
Eichengreen, Barry. „Missed Opportunities“. In In Defense of Public Debt, 165–80. Oxford University PressNew York, 2021. http://dx.doi.org/10.1093/oso/9780197577899.003.0011.
Der volle Inhalt der QuelleÖzbek, Gökhan Berk. „Risk-Adjusted Return Methods: an Application to the BIST“. In Evoluation of Financial Markets 2. Özgür Yayınları, 2023. http://dx.doi.org/10.58830/ozgur.pub105.c514.
Der volle Inhalt der QuelleKonferenzberichte zum Thema "Extra-financial rating"
Prossinger, Hermann, Nikola Geciova, Miroslav Horvath, Jakub Binter und Eliska Cempirkova. „How the Ones in Need Solve Financial Problems in Times of Crisis? The Implication for Government Support Programs“. In 10th International Conference on Human Interaction and Emerging Technologies (IHIET 2023). AHFE International, 2023. http://dx.doi.org/10.54941/ahfe1004098.
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