Bert Scholtens
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Economist
Bert Scholtens's AcademicInfluence.com Rankings
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Economics
Bert Scholtens's Degrees
- PhD Economics University of Groningen
- Masters Economics University of Groningen
- Bachelors Economics University of Groningen
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Why Is Bert Scholtens Influential?
(Suggest an Edit or Addition)Bert Scholtens's Published Works
Number of citations in a given year to any of this author's works
Total number of citations to an author for the works they published in a given year. This highlights publication of the most important work(s) by the author
Published Works
- Comparing financial systems. (2000) (890)
- The stocks at stake: Return and risk in socially responsible investment. (2008) (664)
- Corporate Social Responsibility in the International Banking Industry (2009) (433)
- Power to the people: Local community initiatives and the transition to sustainable energy (2015) (391)
- Finance as a Driver of Corporate Social Responsibility (2006) (372)
- A note on the interaction between corporate social responsibility and financial performance (2008) (317)
- Cultural Values and International Differences in Business Ethics (2007) (297)
- The impact of bank ownership concentration on impaired loans and capital adequacy (2010) (289)
- ESG Integration and the Investment Management Process: Fundamental Investing Reinvented (2016) (256)
- Does Ownership Type Matter for Corporate Social Responsibility? (2012) (252)
- Banking on the equator. Are banks that adopted the equator principles different from non-adopters? (2007) (209)
- Market microstructure : Intermediaries and the theory of the firm. (2000) (202)
- Corporate Social Responsibility and Earnings Management: Evidence from Asian Economies (2013) (197)
- Ownership Concentration and CSR Policy of European Multinational Enterprises (2013) (170)
- The theory of financial intermediation: An essay on what it does (not) explain (2003) (160)
- Oil price shocks and European industries (2012) (144)
- How Important are Foreign Banks in the Financial Development of European Transition Countries? (2003) (140)
- The Effects of Corporate and Country Sustainability Characteristics on the Cost of Debt: An International Investigation (2014) (136)
- A critique on the theory of financial intermediation (2000) (128)
- The Opportunity Cost of Negative Screening in Socially Responsible Investing (2017) (115)
- Challenging Obduracy: how Local Communities Transform the Energy System (2016) (114)
- The Drivers of Responsible Investment: The Case of European Pension Funds (2013) (113)
- Drivers of Socially Responsible Investing: A Case Study of Four Nordic Countries (2013) (109)
- The impact of renewable energy on electricity prices in the Netherlands (2013) (105)
- Style and Performance of Dutch Socially Responsible Investment Funds (2005) (102)
- Analytical Issues in External Financing Alternatives for SBEs (1999) (99)
- Fossil Fuel Divestment and Portfolio Performance (2018) (95)
- Assessing SRI fund performance research: Best practices in empirical analysis (2011) (92)
- Environmental regulation and MNEs location: does CSR matter? (2008) (90)
- Scoring on the stock exchange? The effect of football matches on stock market returns: an event study (2009) (82)
- Environmental and Financial Performance of Fossil Fuel Firms: A Closer Inspection of their Interaction (2017) (82)
- Stakeholder relations and financial performance (2008) (81)
- Finance and the Earth system – Exploring the links between financial actors and non-linear changes in the climate system (2018) (78)
- Toward a theory of responsible investing : On the economic foundations of corporate social responsibility (2015) (75)
- Sovereign bond yield spreads and sustainability: An empirical analysis of OECD countries (2019) (69)
- Accounting and accountability in the Anthropocene (2019) (68)
- Why Finance Should Care about Ecology. (2017) (66)
- Corporate social responsibility in the international insurance industry (2011) (66)
- The curse of the haven: the impact of multinational enterprise on environmental regulation (2012) (65)
- Corporate social responsibility policies of commercial banks in developing countries (2014) (65)
- Environmental and ecological economics in the 21st century: An age adjusted citation analysis of the influential articles, journals, authors and institutions (2012) (65)
- Announcement effects of bank mergers in Europe and the US (2004) (63)
- Financial regulation and financial system architecture in Central Europe (2000) (63)
- The relationship between size, growth and profitability of commercial banks (2013) (61)
- The relationship between European electricity markets and emission allowance futures prices in phase II of the EU (European Union) emission trading scheme (2014) (59)
- Indicators of responsible investing (2014) (54)
- Competition, Growth, and Performance in the Banking Industry (2000) (54)
- Financial and Social Performance of Socially Responsible Investments in the Netherlands (2007) (52)
- Leverage points in the financial sector for seafood sustainability (2019) (50)
- An Efficiency Perspective on Carbon Emissions and Financial Performance (2020) (47)
- Oil Risk in Oil Stocks (2008) (46)
- The world bank. Structure and policies. (2001) (45)
- Not Under Our Back Yards? A case study of social acceptance of the Northern Netherlands CCS initiative (2014) (43)
- Financing energy transformation: The role of renewable energy equity indices (2017) (42)
- What drives socially responsible investment? The case of the Netherlands (2005) (40)
- Analysing Systemic Risk in the Chinese Banking System (2015) (40)
- Sustainable development and socially responsible finance and investing (2008) (40)
- Modeling Natural Gas Price Volatility: The Case of the UK Gas Market (2014) (39)
- Stocks and energy shocks: The impact of energy accidents on stock market value (2011) (36)
- The financial impact of fossil fuel divestment (2020) (36)
- The drivers of the relationship between corporate environmental performance and stock market returns (2012) (36)
- Socially Responsible Investing and Management Style of Mutual Funds in the Euronext Stock Markets (2001) (35)
- CEO risk-taking incentives and socially irresponsible activities (2017) (34)
- Sustainability and bank risk (2019) (32)
- Incentives for subcontractors to adopt CO2 emission reporting and reduction techniques (2011) (31)
- On the Comovement of Bond Yield Spreads and Country Risk Ratings (1999) (31)
- Responsibility and Performance Relationship in the Banking Industry (2019) (29)
- Corporate Social Responsibility and Shareholder Proposals (2017) (29)
- Linking Responsible Investments to Societal Influence: Motives, Assessments and Risks (2011) (28)
- Sovereign risk and financial crises (2004) (26)
- Growth and Earnings Persistence in Banking Firms: A Dynamic Panel Investigation (2009) (25)
- Investor response to appointment of female CEOs and CFOs (2017) (24)
- Under his thumb the effect of president Donald Trump’s Twitter messages on the US stock market (2020) (23)
- Responsible investment in times of turmoil (2011) (22)
- The urge to act: A comparison of active and passive socially responsible investment funds in the United States (2018) (21)
- Surges of international fund flows (2018) (21)
- The Environmental Performance of Dutch Government Bond Funds (2010) (21)
- Impact investments: a call for (re)orientation (2021) (21)
- Carbon prices and firms' financial performance: an industry perspective (2014) (19)
- European pension funds and sustainable development : trade-offs between finance and responsibility (2017) (19)
- Does Money Grow on Trees?: The Diversification Properties of U.S. Timberland Investments (2009) (19)
- Corporate Governance and International Location Decisions of Multinational Enterprises (2007) (18)
- Environmental, Social and Governance (ESG) Performance and Sovereign Bond Spreads: An Empirical Analysis of OECD Countries (2016) (18)
- The liquidity of energy stocks (2013) (17)
- The sustainability of green funds (2011) (16)
- The Cost of Socially Responsible Portfolios: Testing for Mean-Variance Spanning (2009) (16)
- Why do Firms Do Good? Evidence from Managerial Efficiency (2009) (16)
- How important are foreign banks in European transition countries? A comparative analysis (2002) (14)
- Borrowing green: economic and environmental effects of green fiscal policy in the Netherlands (2001) (14)
- Boekbespreking van B.S. Gentry (ed.), Private capital flows and the environment. Lesson from Latin America, Edward Elgar, Cheltenham UK/Northampton USA, 1998 (1999) (14)
- Revisions of international firms energy reserves and the reaction of the stock market (2011) (14)
- Environmental Responsibility (2019) (13)
- Carbon Intensity and the Cost of Equity Capital (2017) (13)
- The power of friends and neighbors: a review of community energy research (2019) (13)
- Is the concept of a green economy a useful way of framing policy discussions and policymaking to promote sustainable development (2011) (12)
- Size, Growth, and Variance among the World's Largest Non-merged Banks (2000) (12)
- Sudden Stops and Currency Crashes (2014) (12)
- The theory of financial intermediation (2006) (12)
- Leading Indicators of Currency Crises: Are They the Same in Different Exchange Rate Regimes? (2014) (12)
- The Spot-Forward Relationship in the Atlantic Salmon Market (2018) (12)
- Sudden Stops of International Fund Flows: Occurrence and Magnitude (2019) (11)
- A comparison of cost-benefit analysis of biomass and natural gas CHP projects in Denmark and the Netherlands (2016) (10)
- Is the journal 'Ecological Economics' really in itself a poor and misleading guide to what ecological economics is about? A reply to "Influencing the perception of what and who is important in ecological economics" (2013) (10)
- Firm Type, Feed‐in Tariff, and Wind Energy Investment in Germany: An Investigation of Decision Making Factors of Energy Producers Regarding Investing in Wind Energy Capacity (2017) (10)
- The Impact of Earthquakes on the Domestic Stock Market (2013) (9)
- Greenhouse Gas Emissions Intensity and the Cost of Capital (2017) (9)
- Natural Gas-Fuel for the 21st Century (2017) (8)
- Does bank capitalization matter for bank stock returns? (2020) (8)
- Subsurface activities and decision support systems: An analysis of the requirements for a social acceptance-motivated decision support system (2016) (8)
- Deposit insurance and bank dividend policy (2020) (8)
- An empirical analysis of excess interbank liquidity: a case study of Pakistan (2015) (7)
- Scientific approaches of community energy: a literature review (2019) (7)
- The financial impact of divestment from fossil fuels (2016) (7)
- Sustainable Business Practices—An Environmental Economics Perspective (2018) (7)
- Does Money Grow on Trees? The Diversification Properties of U.S. Timberland Investments (2010) (7)
- Country Risk Analysis: Principles, Practices and Policies (2004) (7)
- Are international fund flows pro- or counter-cyclical? (2015) (6)
- Financial Performance, Costs, and Active Management of U.S. Socially Responsible Investment Funds (2016) (6)
- Financial Crises and Bank Earnings Volatility: The Role of Bank Size and Market Concentration (2009) (6)
- Bank- and market-oriented financial systems: fact or fiction? (1997) (6)
- A meta-analysis of the relationship between companies’ greenhouse gas emissions and financial performance (2021) (6)
- The relationship between the Renminbi future spot return and the forward discount rate (2013) (6)
- Exposure to socially responsible investing of mutual funds in the Euronext stock markets (2002) (6)
- Divesting Fossil Fuels: The Implications for Investment Portfolios (2017) (6)
- Does Money Grow on Trees? The Diversification Properties of US Timberland Investments (2009) (6)
- What would be the three key preconditions for jumpstarting or scaling up the transfer of environmentally sound technologies for climate change to developing countries (2009) (5)
- How does the Development of the Financial Industry Advance Renewable Energy? A Panel Regression Study of 198 Countries over three Decades (2015) (5)
- Modular evaluation method for subsurface activities (MEMSA). A novel approach for integrating social acceptance in a permit decision-making process for subsurface activities (2017) (5)
- Testing uncovered interest rate parity using LIBOR (2012) (5)
- Distributed energy generation techniques and the competitive fringe effect in electricity markets (2015) (5)
- The Dynamics of Hot Money in China (2013) (5)
- Financial development and the transmission of monetary shocks (2004) (5)
- Cross-border investment expenditure spillovers in European gas infrastructure (2017) (4)
- Greenlining : economic and environmental effects of government facilitated lending to sustainable economic activities in the Netherlands (2001) (4)
- Cyclical behavior of international fund flows (2018) (4)
- Impact of the Dodd-Frank Act on Systemic Risk: A Counterfactual Analysis (2018) (4)
- Shareholders and the environment: a review of four decades of academic research (2021) (4)
- A critique on the theory of ® nancial intermediation (1998) (4)
- Met meerwaarde meer mans (2000) (3)
- Cross-border spillovers from European gas infrastructure investment (2014) (3)
- Designing a Decision Support System for Subsurface Activities.: A Meta Analysis of the Design of a Social Acceptance Motivated Decision Support System for Subsurface Activities in the Netherlands (2014) (3)
- Shocks and fish stocks: The effect of disasters and policy announcements on listed fishing companies' market value (2020) (3)
- Does Uncovered Interest Rate Parity Hold After All? (2013) (3)
- A Comparative Study of Banks’ balance sheets in the European Union and European Transition Countries, 1995–2003 (2006) (3)
- Are International Fund Flows Related to Exchange Rate Dynamics? (2018) (3)
- Stocks and shocks (2002) (3)
- Joint Default Probabilities and Sovereign Risk (2007) (3)
- Unlocking the unsustainable rice-wheat system of Indian Punjab: Assessing alternatives to crop-residue burning from a systems perspective (2022) (3)
- Shocks, Stocks and Ratings: The Financial Community Response to Global Environmental and Health Controversies (2021) (2)
- Duurzaam sparen en beleggen in Nederland, ontwikkelingen in omvang en groei, 1987-1999 (2000) (2)
- Social preferences and socially responsible investing: A survey of US investors (2017) (2)
- Books: Greening Industry: New Roles for Communities, Markets, and Governments (2001) (2)
- Joint default probabilities and country risk (2003) (2)
- The Janus Face of Natural Gas Resources in the Netherlands (2018) (2)
- Legal Restrictions and Investment Growth (2007) (2)
- Bookreview of Buigues, P., A. Jacquemin, and J.F. Marchipont (eds), Competitiveness and the Value of Intangible Assets (2003) (2)
- Socially responsible savings and investments in the Netherlands. Developments in volume and growth between 1987 and 2000 (2001) (2)
- Bond yield spreads and country risk: A lasting relationship? (2002) (2)
- Local citizen initiatives and transitions to energy sustainability (2013) (2)
- Forest fund burns investors (2000) (2)
- Corporate social responsibility in the bank value chain (2013) (2)
- Shareholder wealth effects of bank mergers and the financial system: a comparison of the evidence from North-America, Europe and Japan (2001) (2)
- Bond Yield Spreads and Country Risk (1999) (2)
- ESG Integration and the Investment Management Process: Fundamental Investing Reinvented (2015) (2)
- Preface to the special issue on energy and value (2009) (1)
- Energy Innovations and the Economy: An Historical Overview (2015) (1)
- The Drivers of Responsible Investment: The Case of European Pension Funds (2012) (1)
- Bank Capitalization and the Cross-Section of Bank Stock Returns (2018) (1)
- How can sustainable land management contribute to mitigating climate change (2008) (1)
- Perspectives on Energy Risk (2014) (1)
- Emerging European financial markets: Independence and integration post-enlargement. International Finance Review (2006) (1)
- Bank Size, Income Composition and Earning Volatility (2008) (1)
- Lemons and Timber. The Case of Tropical Timber Investment Funds in the Netherlands (2007) (1)
- International business and finance issues (2008) (1)
- Drivers of Socially Responsible Investing: A Case Study of Four Nordic Countries (2012) (1)
- Financial sector reform in Central and Eastern Europe: The impact of foreign bank's entry (2002) (1)
- Financial development, inflation uncertainty and growth volatility (2006) (1)
- External carbon costs and internal carbon pricing (2022) (1)
- Scholtens An Empirical Analysis of Excess Interbank Liquidity : A Case Study of Pakistan SBP Working Paper Series (2014) (0)
- Transparency, governance and markets (2006) (0)
- University of Groningen The power of friends and neighbors (2019) (0)
- Boekbespreking van M.K. Lewis ed., The globalization of financial services (2000) (0)
- Bookreview of C.L. Gilbert and D.Vines, The world bank. Structure and policies (2001) (0)
- Analysis Environmental and ecological economics in the 21 st century : An age adjusted citation analysis of the in fl uential articles , journals , authors and institutions (2015) (0)
- Brady's bananenschil (2000) (0)
- Climate Consequences of Rebalancing Official Climate Finance: Analyzing Multilateral Development Banks’ Allocation Practices (2021) (0)
- Sustainable value chain management: A research anthology (2013) (0)
- Shocks and stocks (2003) (0)
- Are International Fund Flows Related to Exchange Rate Dynamics? (2017) (0)
- The orientation of the financial system: Alternative approaches and the case of the European Monetary Union (2008) (0)
- Bookreview of J.J. Bouma, M. Jeucken and L. Klinkers (red.), Sustainable banking. The greening of finance (2002) (0)
- Falling oil prices should help Europe’s ailing economies, but the wider implications of the price drop remain to be seen (2015) (0)
- Book Review (2007) (0)
- Experts address the question: How has the globalization of industrial supply chains impacted sustainable development in developing countries? (2007) (0)
- Bookreview of Brouwer, G. de, Hedge funds in emerging markets (2002) (0)
- The Diversification Potential of Tropical Timber Plantation Investment Funds (2000) (0)
- Stakeholders and Stocks; Assessing the Interaction between International Companies’ Stakeholder Performance and Their Stock Market Returns (2009) (0)
- Are internet firms different? : evidence from insider trading (2001) (0)
- Multinationals en internationaal milieubeleid (2009) (0)
- Ownership Concentration and CSR Policy of European Multinational Enterprises (2012) (0)
- How has the globalization of industrial supply chains impacted sustainable development in developing countries (2007) (0)
- Impact of Interbank Liquidity on Monetary Transmission Mechanism: A Case Study of Pakistan (2014) (0)
- Movers and Shakers: Stock Market Response to Induced Seismicity in Oil and Gas Business (2021) (0)
- Book review: Age F.P. Bakker and Bryan Chapple (eds.), Capital Liberalization in Transition Countries – Lessons from the Past and for the Future, Edward Elgar, Cheltenham/Northampton MA, 2003, 200 p. GBP 59.95 (ISBN 1 84376 345 1) (2004) (0)
- Boekbespreking van F. Allen and D. Gale, Comparing financial systems (2000) (0)
- Corrigendum to 'A plant-level analysis of the spill-over effects of the German Energiewende' [Appl. Energy 183 (2016) 1259–1271] (2017) (0)
- Price limits in Asia-Pacific financial markets: The case of the Shanghai stock exchange, In: S.J. Kim and M. McKenzie (eds.), Asia-Pacific financial markets: Integration, innovation and challenges (2008) (0)
- Leading Indicators of Currency Crises: Are They the Same in Different Exchange Rate Regimes? (2014) (0)
- C.M. Buch, R.P. Heinrich and C. Pierdzioch, Foreign capital and economic transformation: risks and benefits of free capital flows (2000) (0)
- Sustainability and bank risk (2019) (0)
- Timing van kasstromen en het rendement van beleggingen (2010) (0)
- The Financial Impact of Terrorist Attacks on the Value of the Oil and Gas Industry: An International Review (2016) (0)
- Call for Papers Track on Responsible Investments, Utrecht, the Netherlands, 5-8 July, 2009 (2008) (0)
- Earnings management and CSR in Asia (2013) (0)
- Environmental Responsibility : Theoretical Perspective (2019) (0)
- Boekbespreking van R. Realfonzo, Money and banking (2000) (0)
- Country risk, debt accumulation, and the terms of trade (2003) (0)
- The Leading Indicators of Currency Crashes under Alternative Exchange Regimes (2014) (0)
- Correction to: The Opportunity Cost of Negative Screening in Socially Responsible Investing (2017) (0)
- Fair trade in Europe: The role of economics and culture (2010) (0)
- The prospects of tropical timber plantation investment funds (1998) (0)
- Post scroipta - An owl's view (2011) (0)
- Sustainable savings and investments in the Netherlands. Volume and growth trends 1987-1999 (2000) (0)
- The Opportunity Cost of Negative Screening in Socially Responsible Investing (2015) (0)
- Survey of the Literature on Foreign Banks and Economic Transition (2002) (0)
- Local energy initiatives and transitions to energy sustainability (2013) (0)
- Boekbespreking van T. Notermans, Money, markets and the state (2000) (0)
- A comparative study of banks balance sheets in the EU, new EU member states and European transition economies (2006) (0)
- Blowing Bubbles? A Conceptual Analysis of the Carbon Bubble Hypothesis (2016) (0)
- Community energy: a critical review of the literature (2016) (0)
- Introduction : In L.J.R. Scholtens, M. Frenkel & A. Karmann (Eds.), (2004) (0)
- Working Papers in Responsible Banking & Finance Social Preferences and Socially Responsible Investing : A Survey of U (2016) (0)
- Bookreview of P.T. Harker and S.A. Zenios, Performance of financial institutions: efficiency, innovation, regulation (2001) (0)
- Correction to: The Opportunity Cost of Negative Screening in Socially Responsible Investing (2018) (0)
- Divesting Fossil Fuels (2017) (0)
- Measuring Risk in Energy Markets (2014) (0)
- Chapter 11 Price limits in Asia-Pacific financial markets: The case of the Shanghai stock exchange (2007) (0)
- Obduracy in action: how Dutch local communities transform centralized energy systems (2014) (0)
- Review: Private capital flows and the environment (1999) (0)
- Book reviews (1995) (0)
- Community energy: it's coming up roses! (2017) (0)
- Are internet firms different (2001) (0)
- Banking sector convergence within Europe (2006) (0)
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What Schools Are Affiliated With Bert Scholtens?
Bert Scholtens is affiliated with the following schools:
