This thesis investigates the effect of ethics on the performance of Swedish funds over the years 2009-2018. Through the use of environmental, social, and governance (ESG) score, this study distinguishes ethical funds from the less ethical funds. These funds are then compared and analyzed further with the help of traditional risk-adjusted performance measurements. For the final step of the thesis, these measurements, together with additional explanatory variables, were used to examine the ESG score effect on fund performance through a panel data regression. The findings show that fund performance is dependent on ESG score at the 5% significant level. However, the results of the study also suggest that there is a tendency of the less ethical ...
Recently, the selections of ethical funds are increased; at the same time investors with social and ...
The interest for funds that are considered sustainable have increased globally in recent times. This...
Aim: Based on portfolio theory, which highlights diversification, and CSR, which describes the value...
Previous research found Swedish national pension funds to perform worse than the market average. Thi...
This thesis provides an explanation of how well ethical funds perform in relation to a suitable mark...
This paper seeks to answer if the Nordic investor pays the price of ethics when investing in Nordic ...
The aim of this study is to evaluate the difference in performance and management fees between ethic...
This thesis investigates if there are differences in performance and investment styles between ethic...
The purpose of this thesis is to evaluate and compare ethical and traditional funds. There has been ...
This paper presents a comprehensive analysis of socially responsible (SR) funds in Sweden by assessi...
"First published: 30 October 2017"This paper presents a comprehensive analysis of socially responsib...
The financial performance of Socially Responsible Investing (SRI) strategies is heavily debated in t...
The supply of ethical funds has increased greatly in Sweden during recent years. The purpose of the ...
This thesis investigates the relationship between environmental, social and governance (ESG) factors...
Ethical investment has experienced rapid growth around the world, reflecting the increasing awarenes...
Recently, the selections of ethical funds are increased; at the same time investors with social and ...
The interest for funds that are considered sustainable have increased globally in recent times. This...
Aim: Based on portfolio theory, which highlights diversification, and CSR, which describes the value...
Previous research found Swedish national pension funds to perform worse than the market average. Thi...
This thesis provides an explanation of how well ethical funds perform in relation to a suitable mark...
This paper seeks to answer if the Nordic investor pays the price of ethics when investing in Nordic ...
The aim of this study is to evaluate the difference in performance and management fees between ethic...
This thesis investigates if there are differences in performance and investment styles between ethic...
The purpose of this thesis is to evaluate and compare ethical and traditional funds. There has been ...
This paper presents a comprehensive analysis of socially responsible (SR) funds in Sweden by assessi...
"First published: 30 October 2017"This paper presents a comprehensive analysis of socially responsib...
The financial performance of Socially Responsible Investing (SRI) strategies is heavily debated in t...
The supply of ethical funds has increased greatly in Sweden during recent years. The purpose of the ...
This thesis investigates the relationship between environmental, social and governance (ESG) factors...
Ethical investment has experienced rapid growth around the world, reflecting the increasing awarenes...
Recently, the selections of ethical funds are increased; at the same time investors with social and ...
The interest for funds that are considered sustainable have increased globally in recent times. This...
Aim: Based on portfolio theory, which highlights diversification, and CSR, which describes the value...