Do environmental, social and governance practices affect portfolio returns? Evidence from the US stock market from 2002 to 2020
Has this study been replicated?
This paper is itself a replication attempt. The study it set out to replicate is listed below.
Study replicated
- Socially responsible funds and market crises, Nofsinger & Varma (2014). Journal of Banking & Finance. View paper
Cite this record
Kabderian Dreyer, J., Moreira, M., Smith, W. T., & Sharma, V. (2023). Do environmental, social and governance practices affect portfolio returns? Evidence from the US stock market from 2002 to 2020. Review of Accounting and Finance, 22(1), 37–61. https://doi.org/10.1108/raf-02-2022
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