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The relevance of the country and sector effect in global equity returns around COVID-19 and developed and emerging markets.
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- Journal of Risk Management in Financial Institutions, 2024, v. 17, n. 2, p. 213, doi. 10.69554/rrcr9566
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How to improve the ESG profile of portfolios while keeping a similar risk-adjusted return.
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- Journal of Risk Management in Financial Institutions, 2021, v. 15, n. 1, p. 51, doi. 10.69554/jiss7490
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- Article