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Performance Evaluation of Socially Responsible Investment Funds
by
Khelifi, Amina
in
التنمية المستدامة
/ السوق الأوروبية
/ صناديق الاستثمار الأخلاقية
2025
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Performance Evaluation of Socially Responsible Investment Funds
by
Khelifi, Amina
in
التنمية المستدامة
/ السوق الأوروبية
/ صناديق الاستثمار الأخلاقية
2025
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Performance Evaluation of Socially Responsible Investment Funds
Journal Article
Performance Evaluation of Socially Responsible Investment Funds
2025
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Overview
This study aims to assess the performance of Socially Responsible Investment (SRI) funds by analyzing data from European market countries between 2018 and 2023. The evaluation considers absolute returns, risk measures, and risk-adjusted performance, utilizing the Sharpe ratio, Treynor ratio, and Jensen's Alpha across varying market conditions. Our findings suggest that SRI funds can serve as a safeguard for investors during crises. Investors should consider the positive impact of ESG factors on performance. Additionally, a customized investment strategy is recommended to enhance returns and manage risk across various market conditions, aligning with investors' goals and risk profiles to contribute to the achievement of sustainable development objectives.
Publisher
جامعة عبدالحميد بن باديس مستغانم - كلية العلوم الاقتصادية والتجارية وعلوم التسيير - مخبر استراتيجية التحول الى اقتصاد أخضر
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