The effect of ESG rating on Stock Returns on European Market: Portfolio analysis

dc.contributorAalto Universityen
dc.contributorAalto-yliopistofi
dc.contributor.advisorKokkonen, Joni
dc.contributor.authorStigell, Henric
dc.contributor.departmentRahoituksen laitosfi
dc.contributor.schoolKauppakorkeakoulufi
dc.contributor.schoolSchool of Businessen
dc.date.accessioned2020-12-06T17:02:30Z
dc.date.available2020-12-06T17:02:30Z
dc.date.issued2020
dc.format.extent34
dc.format.mimetypeapplication/pdfen
dc.identifier.urihttps://aaltodoc.aalto.fi/handle/123456789/97279
dc.identifier.urnURN:NBN:fi:aalto-2020120656113
dc.language.isoenen
dc.programmeRahoitusen
dc.subject.keywordESGen
dc.subject.keywordsustainabilityen
dc.subject.keywordenvironmentalen
dc.subject.keywordsocialen
dc.subject.keywordgovernanceen
dc.subject.keywordstocken
dc.subject.keywordreturnsen
dc.subject.keywordportfolioen
dc.titleThe effect of ESG rating on Stock Returns on European Market: Portfolio analysisen
dc.typeG1 Kandidaatintyöfi
dc.type.ontasotBachelor's thesisen
dc.type.ontasotKandidaatintyöfi

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