The performance of European socially responsible funds MC Cortez, F Silva, N Areal Journal of business ethics 87, 573-588, 2009 | 395 | 2009 |
Socially responsible investing in the global market: The performance of US and European funds MC Cortez, F Silva, N Areal International Journal of Finance & Economics 17 (3), 254-271, 2012 | 200 | 2012 |
The performance of US and European green funds in different market conditions F Silva, MC Cortez Journal of Cleaner Production 135, 558-566, 2016 | 149 | 2016 |
Conditioning information and European bond fund performance F Silva, MC Cortez, MR Armada European Financial Management 9 (2), 201-230, 2003 | 107 | 2003 |
The conditional performance of US mutual funds over different market regimes: do different types of ethical screens matter? N Areal, MC Cortez, F Silva Financial markets and portfolio management 27, 397-429, 2013 | 83 | 2013 |
Conditioning information on portfolio performance evaluation: a reexamination of performance persistence in the Portuguese mutual fund market MDC Cortez, F Silva Finance India 16 (4), 1393, 2002 | 49 | 2002 |
The persistence of European bond fund performance: Does conditioning information matter? F Silva, MC Cortez, MJ Rocha Armada International Journal of Business 10 (4), 2005 | 43 | 2005 |
The environmental and financial performance of green energy investments: European evidence MC Cortez, N Andrade, F Silva Ecological economics 197, 107427, 2022 | 42 | 2022 |
The performance of socially responsible equity mutual funds: Evidence from Sweden C Leite, MC Cortez, F Silva, C Adcock Business Ethics: A European Review 27 (2), 108-126, 2018 | 40 | 2018 |
Time varying betas and the unconditional distribution of asset returns CJ Adcock, MC Cortez, MJR Armada, F Silva Quantitative Finance 12 (6), 951-967, 2012 | 37 | 2012 |
Socially responsible investing and the performance of Eurozone corporate bond portfolios P Pereira, MC Cortez, F Silva Corporate Social Responsibility and Environmental Management 26 (6), 1407-1422, 2019 | 36 | 2019 |
Investing in Mutual Funds: Does it Pay to be a Sinner or a Saint in Times of Crisis? N Areal, MC Cortez, F Silva Florinda, Investing in Mutual Funds: Does it Pay to Be a Sinner or a Saint …, 2010 | 21 | 2010 |
Do Islamic fundamental weighted indices outperform their conventional counterparts? An empirical investigation during the crises in the MENA region RT Abadi, F Silva Eurasian Economic Review 12 (2), 241-266, 2022 | 11 | 2022 |
Common risk factors in stock returns in the MENA region R Abadi, F Silva Asian Journal of Business and accounting 12 (2), 29-60, 2019 | 8 | 2019 |
Does the choice of fund performance measure matter? C Adcock, N Areal, MC Cortez, B Oliveira, F Silva Investment Analysts Journal 49 (1), 53-77, 2020 | 6 | 2020 |
Tests of the correlation between portfolio performance measures C Adcock, N Areal, M Armada, MC Cortez, B Oliveira, F Silva Journal of Financial Transformation 35, 123-132, 2012 | 6 | 2012 |
Does the use of downside risk-adjusted measures impact performance rankings of UK investments trusts C Adcock, N Areal, M Armada, M Cortez, B Oliveira, F Silva 6th PFN, Azores Island, 2010 | 6 | 2010 |
Bond return predictability: an investigation for the European market F Silva, MC Cortez, MJ Rocha Armada Manuel José, Bond Return Predictability: An Investigation for the European …, 2003 | 6 | 2003 |
Does the use of downside risk-adjusted measures impact the performance of UK investment trusts? CJ Adcock, N Areal, MJ Rocha Armada, MC Cortez, B Oliveira, F Silva 23rd Australasian Finance and Banking Conference, 2010 | 5 | 2010 |
Portfolio performance measurement: Monotonicity with respect to the Sharpe ratio and multivariate tests of correlation CJ Adcock, N Areal, MJ Rocha Armada, MC Cortez, B Oliveira, F Silva Manuel José and Ceu Cortez, Maria and Oliveira, Benilde and Silva, Florinda …, 2017 | 4 | 2017 |