Issue 1 of Volume 30 of the Review of Finance is now available!

We are pleased to announce that Issue 1 of Volume 30 of the Review of Finance is now available.

This is part of the Special Issue in Biodiversity and includes a preface from Elroy Dimson, Marcin Kacperczyk, and Laura Starks who were the Special Editors for this edition.

  1. Corporate nature risk perceptions (Summary here)
    Snorre Gjerde, Zacharias Sautner, Alexander F Wagner, and Alexis Wegerich
  2. Biodiversity entrepreneurship
    Sean Shun Cao, G Andrew Karolyi, William W Xiong, and Hui Xu
  3. Financial value of nature: coastal housing markets, mangroves, and climate resilience (Summary here)
    Teng Liu, Brook Constantz, Galina Hale, and Michael W Beck
  4. Biodiversity risk
    Stefano Giglio, Theresa Kuchler, Johannes Stroebel, and Xuran Zeng
  5. The value of guarantor monitoring: evidence from bond defaults in China (Summary here)
    Haoyu Gao, Yuting Huang, and Jingyuan Mo
  6. The real effects of protecting biodiversity 
    Amir Akbari, Lilian Ng, Man Duy (Marty) Pham, and Jing Yu
  7. Firm-level nature dependence (Summary here)
    Alexandre Garel, Arthur Romec, Zacharias Sautner, and Alexander Wagner
  8. Does financing biodiversity reduce biodiversity loss? Evidence from EU funding of science and innovation 
    Andre Poyser
  9. Do investors care about the rainforest? Evidence from voluntary carbon offsets around the world (Summary here)
    Franklin Allen, Patrick Behr, Riccardo Cosenza, and Eric Nowak
  10. The pricing of biodiversity risk in commodity markets 
    Massimo Guidolin and Manuela Pedio
  11. Biodiversity and local asset values (Summary here)
    Jess Cornaggia, Yu-Hsuan (Jennifer) Liang, Peter Iliev, and Qiang Wang

To access the complete issue, please click here.

Scroll to Top