Auke Plantinga
Title
Cited by
Cited by
Year
The stocks at stake: Return and risk in socially responsible investment
R Galema, A Plantinga, B Scholtens
Journal of Banking & Finance 32 (12), 2646-2654, 2008
7072008
The dutch triangle
FA Sortino, R Van Der Meer, A Plantinga
The Journal of Portfolio Management 26 (1), 50-57, 1999
2861999
ESG integration and the investment management process: Fundamental investing reinvented
E Van Duuren, A Plantinga, B Scholtens
Journal of Business Ethics 138 (3), 525-533, 2016
2052016
Socially responsible investing and management style of mutual funds in the Euronext stock markets
A Plantinga, B Scholtens
Research School Systems, Organisation and Management, 2001
602001
Risk-adjusted performance measures and implied risk attitudes
A Plantinga, S de Groot
Research School Systems, Organisation and Management, 2001
392001
The upside potential ratio
F Sortino, RAH van der Meer, A Plantinga
The Journal of Performance Measurement 1, 10-15, 1999
291999
The impact of downside risk on risk-adjusted performance of mutual funds in the Euronext markets
R van der Meer, F Sortino, A Plantinga
Available at SSRN 277352, 2001
272001
The cost of socially responsible portfolios: Testing for mean-variance spanning
R Galema, B Scholtens, A Plantinga
Available at SSRN 1086560, 2009
172009
Pension Fund Risk Management: financial and actuarial modeling
M Micocci, GN Gregoriou, GB Masala
CRC Press, 2010
142010
Fundamental indexing: an analysis of the returns, risks and costs of applying the strategy
R Houwer, A Plantinga
Risks and Costs of Applying the Strategy (February 15, 2009), 2009
142009
Exposure to socially responsible investing of mutual funds in the Euronext stock markets
A Plantinga, B Scholtens, N Brunia
Journal of Performance Measurement 6 (3), 40-50, 2002
102002
Performance measurement for pension funds
A Plantinga
Available at SSRN 900427, 2005
92005
Performance measurement and insurance liabilities
A Plantinga, C Huijgen
The Journal of Portfolio Management 27 (3), 105-115, 2001
92001
The financial impact of divestment from fossil fuels
A Plantinga, B Scholtens
Research Report, 2016
62016
Using analysts’ earnings forecasts for country/industry‐based asset allocation
W Forbes, C Huijgen, A Plantinga
Managerial Finance, 2006
62006
Preference functions and risk-adjusted performance measures
A Plantinga, S De Groot
Managing Downside Risk in Financial Markets, 169-193, 2001
62001
Analysts' earnings forecasts and international asset allocation
C Huijgen, A Plantinga
Available at SSRN 174168, 1999
61999
The financial impact of fossil fuel divestment
A Plantinga, B Scholtens
Climate Policy 21 (1), 107-119, 2021
52021
Private acquisition gains: A contingent claims explanation
J Doukas, H Gonenc, A Plantinga
The European Journal of Finance 20 (12), 1090-1113, 2014
52014
Style popularity and the comovement of stocks
T Wouters, A Plantinga
University of Groningen, Working Paper, Jun, 2006
52006
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Articles 1–20