Article (Scientific journals)
Reliability of ESG ratings - A qualitative and quantitative assessment
Ruth, Jérôme
2020In Revue Bancaire et Financière, 3, p. 240-244
 

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Keywords :
Sustainable finance; ESG Ratings
Abstract :
[en] This publication is a summary of the author' master thesis that aims at studying the reliability of ratings through three complementary research questions. The first research question showed that, despite an overall agreement on the SRI definition, ESG rating is a relative concept specific to each agency as reflected by different methodologies and purposes. This indicates a possible complementary effect between agencies. The second research question confirmed a size and a location effect and provided indications of a learning effect. Build upon the result of the second research question, the third research question has shown that portfolios of high and low ESG ratings are neither associated with overperformance nor with underperformance. Besides, this question has shown that ESG ratings could not reproduce findings on specific pillar components (such as employees and customer satisfaction).
Disciplines :
Finance
Author, co-author :
Ruth, Jérôme ;  Université de Liège - ULiège > HEC Liège : UER > UER Finance et Droit : Analyse financière et finance d'entr.
Language :
English
Title :
Reliability of ESG ratings - A qualitative and quantitative assessment
Publication date :
December 2020
Journal title :
Revue Bancaire et Financière
ISSN :
1376-7720
Publisher :
De Boeck & Larcier, Bruxelles, Belgium
Volume :
3
Pages :
240-244
Available on ORBi :
since 08 February 2021

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