José Luís Miralles Quirós
Universidad Nacional(CR)
Publications by Year
Research Areas
Financial Markets and Investment Strategies, Market Dynamics and Volatility, Monetary Policy and Economic Impact, Financial Risk and Volatility Modeling, Corporate Finance and Governance
Most-Cited Works
- → The Value Relevance of Environmental, Social, and Governance Performance: The Brazilian Case(2018)284 cited
- → ESG Performance and Shareholder Value Creation in the Banking Industry: International Differences(2019)217 cited
- → The impact of environmental, social, and governance performance on stock prices: Evidence from the banking industry(2019)190 cited
- → Exploring the determinants of corporate green bond issuance and its environmental implication: The role of corporate board(2023)89 cited
- → Are Firms that Contribute to Sustainable Development Valued by Investors?(2017)82 cited
- → Diversification benefits of using exchange‐traded funds in compliance to the sustainable development goals(2018)75 cited
- → Sustainable Development, Sustainability Leadership and Firm Valuation: Differences across Europe(2017)74 cited
- → Are alternative energies a real alternative for investors?(2018)56 cited
- → The added value and differentiation among ESG investment strategies in stock markets(2022)52 cited
- → Improving Diversification Opportunities for Socially Responsible Investors(2015)43 cited