Certain industry, big giving: modelling the correlation between SRI and industry risk Cover Image

Certain industry, big giving: modelling the correlation between SRI and industry risk
Certain industry, big giving: modelling the correlation between SRI and industry risk

Author(s): Răzvan Cătălin Dobrea
Subject(s): Business Economy / Management
Published by: INCD URBAN-INCERC
Keywords: decision; investment; PANEL; risk; sustainability

Summary/Abstract: Today, tomorrow’s success has to be planned and evaluated according to the principles of two major theories: complexity theory and chaos theory. Concepts of globalization and sustainable development require new rules related to contemporary (investment) performance. The goal of this paper is to highlight a sustainability-based approach on investment decision optimization. The empirical study conducted in this area by estimating the parameters of a PANEL data regression model, provides that the relation between socially responsible investments (SRI) and company’s performance is based indirectly on risk opportunities.

  • Issue Year: 7/2016
  • Issue No: 3
  • Page Range: 213-224
  • Page Count: 12
  • Language: English
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