The impact of the Russia-Ukraine conflict on energy firms: A capital market perspective M Nerlinger, S Utz Finance Research Letters 50, 103243, 2022 | 219* | 2022 |
Tri-criterion inverse portfolio optimization with application to socially responsible mutual funds S Utz, M Wimmer, M Hirschberger, RE Steuer European Journal of Operational Research 234 (2), 491-498, 2014 | 184 | 2014 |
Are they any good at all? A financial and ethical analysis of socially responsible mutual funds S Utz, M Wimmer Journal of Asset Management 15, 72-82, 2014 | 151 | 2014 |
Corporate scandals and the reliability of ESG assessments: Evidence from an international sample S Utz Review of Managerial Science 13, 483-511, 2019 | 126 | 2019 |
The effect of the Japan 2011 disaster on nuclear and alternative energy stocks worldwide: An event study R Ferstl, S Utz, M Wimmer Business Research 5, 25-41, 2012 | 124 | 2012 |
The pricing of green bonds: external reviews and the shades of green G Dorfleitner, S Utz, R Zhang Review of Managerial Science, 1-38, 2021 | 121 | 2021 |
Computing the nondominated surface in tri-criterion portfolio selection M Hirschberger, RE Steuer, S Utz, M Wimmer, Y Qi Operations Research 61 (1), 169-183, 2013 | 119 | 2013 |
Patience pays off–corporate social responsibility and long-term stock returns G Dorfleitner, S Utz, M Wimmer Journal of Sustainable Finance & Investment 8 (2), 132-157, 2018 | 117* | 2018 |
Over-investment or risk mitigation? Corporate social responsibility in Asia-Pacific, Europe, Japan, and the United States S Utz Review of Financial Economics 36 (2), 167-193, 2018 | 112 | 2018 |
Tri-criterion modeling for constructing more-sustainable mutual funds S Utz, M Wimmer, RE Steuer European Journal of Operational Research 246 (1), 331-338, 2015 | 108 | 2015 |
Profiling German-speaking socially responsible investors G Dorfleitner, S Utz Qualitative Research in Financial Markets 6 (2), 118-156, 2014 | 105 | 2014 |
Safety first portfolio choice based on financial and sustainability returns G Dorfleitner, S Utz European Journal of Operational Research 221 (1), 155-164, 2012 | 102 | 2012 |
Sustainability in supplier selection and order allocation: Combining integer variables with Markowitz portfolio theory F Kellner, S Utz Journal of cleaner production 214, 462-474, 2019 | 92 | 2019 |
An a posteriori decision support methodology for solving the multi-criteria supplier selection problem F Kellner, B Lienland, S Utz European Journal of Operational Research 272 (2), 505-522, 2019 | 92 | 2019 |
The effect of earnings management and tax aggressiveness on shareholder wealth and stock price crash risk of German companies S Neifar, S Utz Journal of Applied Accounting Research 20 (1), 94-119, 2019 | 55 | 2019 |
Active first movers vs. late free-riders? An empirical analysis of UN PRI signatories’ commitment T Bauckloh, S Schaltegger, S Utz, S Zeile, B Zwergel Journal of business ethics, 1-35, 2021 | 50* | 2021 |
Omega-CVaR portfolio optimization and its worst case analysis A Sharma, S Utz, A Mehra OR spectrum 39 (2), 505-539, 2017 | 47 | 2017 |
The impact of corporate social and environmental performance on credit rating prediction: North America versus Europe G Dorfleitner, J Grebler, S Utz Journal of Risk 22 (6), 1-33, 2020 | 40 | 2020 |
Between impact and returns: Private investors and the sustainable development goals F Paetzold, T Busch, S Utz, A Kellers Business Strategy and the Environment 31 (7), 3182-3197, 2022 | 38 | 2022 |
Risk mitigation of corporate social performance in US class action lawsuits DV Fauser, S Utz Financial Analysts Journal 77 (2), 43-65, 2021 | 35 | 2021 |