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An Axiomatic Risk-Reward Framework for Sustainable Investing

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Svetlozar T. Rachev

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W. Brent Lindquist

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Darinka Dentcheva

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Market-Implied Sustainability: Insights from Funds’ Portfolio Holdings

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Mean-CVaR portfolio optimization under ESG disagreement

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Marco Bonomelli

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Davide Lauria

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Assessing climate risk on the European financial system: a multi-scenario Analysis

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Gabriele Torri

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