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Research Article

Diversification and hedging strategies of green bonds in financial asset portfolios during the COVID-19 pandemic

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Idris A. Adediran, Phebian N. Bewaji & Olajide O. Oyadeyi. Climate Risk and Stock Markets: Implications for Market Efficiency and Return Predictability. Emerging Markets Finance and Trade 0:0, pages 1-21.
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Articles from other publishers (5)

Chunlin Lang, Danyang Xu, Shaen Corbet, Yang Hu & John W. Goodell. (2024) Global financial risk and market connectedness: An empirical analysis of COVOL and major financial markets. International Review of Financial Analysis 93, pages 103152.
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Vaibhav Lalwani. (2024) Incorporating green assets in equity portfolios. Finance Research Letters 59, pages 104815.
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Kajal Panwar, Miklesh Prasad Yadav & Neha Puri. (2023) Spillover Effect of Green Bond with Metal and Bullion Market. Asia-Pacific Financial Markets.
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Nini Johana Marín-Rodríguez, Juan David González-Ruiz & Alejandro Valencia-Arias. (2023) Incorporating Green Bonds into Portfolio Investments: Recent Trends and Further Research. Sustainability 15:20, pages 14897.
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Xunfa Lu, Nan Huang, Jianlei Mo & Zhitao Ye. (2023) Dynamics of the return and volatility connectedness among green finance markets during the COVID-19 pandemic. Energy Economics 125, pages 106860.
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