Keyphrases
Chinese Stock Market
48%
Carbon Market
45%
Investor Sentiment
43%
Chinese Firms
38%
China's Carbon Market
38%
ESG Ratings
36%
Investment Model
34%
Corporate
34%
Company Value
34%
Investor Reaction
34%
Fund Managers
34%
Manager Behavior
34%
China
30%
Mutual Funds
29%
Risk Spillover
28%
Name Change
22%
Climate Risk
22%
Portfolio Level
22%
Institutional Investors
21%
Stock Returns
21%
Risk-return Relation
21%
Chinese Equity Markets
21%
Guangdong
21%
Stock Market
20%
Investor Sentiment Index
19%
Volatility
19%
Event Studies Approach
18%
US-China Trade War
17%
Stock Return Comovement
17%
Calendar Anomalies
17%
Order Uncertainty
17%
Leveraged Exchange Traded Funds
17%
Firm Export Performance
17%
Information Diffusion
17%
Investment Experience
17%
User Innovation
17%
Internationalization
17%
Destination Country
17%
Hero
17%
Economic Order
17%
Export Performance
17%
Social Media Information
17%
Excess Stock Returns
17%
Putting
17%
Economic Coordination
17%
Institutional Investor Sentiment
17%
Individual Investors
17%
Compensation Peers
17%
Carrying Costs
17%
Sustainable Development Goals
17%
Nurse Innovation
17%
Investor Trading Behavior
17%
Relative Investor
17%
Holding Period Returns
17%
Logarithmic Return
17%
Futures Prices
17%
Chinese Famine
17%
Futures Basis
17%
Equity Index Futures
17%
Unintended Consequences
17%
Corporate Innovation
17%
Diffusion of Innovation
17%
Corporate Social Responsibility
17%
Social Firms
17%
Capital Account Liberalization
17%
Valuation Effects
17%
Emotional Costs
17%
Chinese Investors
17%
Peer Group
17%
Extreme Weather
17%
Portfolio Characteristics
17%
Risk Tracing
17%
Social Tools
17%
Macroeconomic Policy
17%
Environmental Governance
17%
At-risk
17%
Fund Portfolio
17%
Risk Profile
17%
China's GDP
17%
Time Monitoring
17%
Downside Risk
17%
Investment Funds
17%
Environmental Tool
17%
Policy Impact
17%
Governance Tools
17%
Short-term Market
17%
Comprehensive Agreement on Investment
17%
Onboarding
17%
Supply Chain
17%
Market Reaction
17%
Firm Supply
17%
Energy Market
17%
Climate Shocks
17%
Extreme Climate
17%
Lead-lag Relationship
17%
ESG Performance
17%
Dynamic Risk
17%
Tail Risk
17%
Contagion
17%
Regional Dependence
17%
Economics, Econometrics and Finance
Investors
100%
Carbon Market
62%
Investor Sentiment
51%
Environmental, Social and Corporate Governance
49%
Institutional Investor
48%
Capital Market Returns
43%
Spillover Effect
40%
Price
38%
Specific Industry
38%
Firm Value
34%
Environmental, Social, and Governance Performance
34%
Event Study
31%
Foreign Investment
25%
Index Futures
22%
Volatility
22%
Climate Risks
22%
Difference-In-Differences
21%
ESG rating
19%
Stock Index
18%
Corporate Social Responsibility
17%
Corporate Innovation
17%
Innovation Diffusion
17%
Capital Account
17%
International Economic Policy
17%
Internationalization
17%
Trade Dispute
17%
Calendar Effect
17%
Peer Effect
17%
Index Derivative
17%
Price Level
17%
Product Differentiation
17%
Outward Foreign Direct Investment
17%
Sustainable Development Goals
17%
Monetary Policy
17%
Ownership
17%
Energy Demand
17%
Finance
17%
Flow of Funds
17%
Causality Analysis
17%
Hedging
12%
Autoregression
11%
Skewness
10%
International Economic Order
8%
Fintech
8%
Foreign Exchange Market
6%
Executive Compensation
5%
Portfolio Selection
5%
Labor Market
5%
Local Government Debt
5%
Macroeconomics
5%
Real Estate Price
5%
Inflation
5%
Emerging Economies
5%
Interest Rate
5%
Fiscal Policy
5%
Financial Market
5%