Martin Nerlinger

University of St. Gallen - School of Finance

Unterer Graben 21

St. Gallen, 9000

Switzerland

Swiss Finance Institute

c/o University of Geneva

40, Bd du Pont-d'Arve

CH-1211 Geneva 4

Switzerland

SCHOLARLY PAPERS

4

DOWNLOADS
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5,292

SSRN CITATIONS
Rank 36,713

SSRN RANKINGS

Top 36,713

in Total Papers Citations

12

CROSSREF CITATIONS

9

Ideas:
“  I am currently working on topics in the field of Climate and Sustainable Finance  ”

Scholarly Papers (4)

1.

Carbon Risk

Number of pages: 78 Posted: 10 Mar 2017 Last Revised: 19 Aug 2020
University of Augsburg, University of Augsburg, University of St. Gallen - School of Finance, Queen's University - Smith School of Business, University of Augsburg and University of Augsburg
Downloads 4,946 (2,517)
Citation 22

Abstract:

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Carbon risk, climate finance, climate change, economic transition, asset pricing

2.

The impact of the Russia-Ukraine conflict on the green energy transition – A capital market perspective

Swiss Finance Institute Research Paper No. 22-49
Number of pages: 16 Posted: 10 Jun 2022 Last Revised: 18 Jul 2022
Martin Nerlinger and Sebastian Utz
University of St. Gallen - School of Finance and University Augsburg
Downloads 224 (191,745)

Abstract:

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Russia-Ukraine conflict, energy, transition, event study, climate change

3.

Carbon Liquidity

Number of pages: 50 Posted: 11 Oct 2021 Last Revised: 02 Mar 2022
Ryan Riordan and Martin Nerlinger
Queen's University - Smith School of Business and University of St. Gallen - School of Finance
Downloads 122 (315,963)

Abstract:

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Greenhouse gas emissions, liquidity, disclosure

4.

Get Green or Die Trying? Carbon Risk Integration into Portfolio Management

Journal of Portfolio Management, February 2021, 47 (3) 77-93; DOI: https://doi.org/10.3905/jpm.2020.1.200
Posted: 11 Nov 2020 Last Revised: 17 Sep 2021
Maximilian Görgen, Andrea Jacob and Martin Nerlinger
University of Augsburg, University of Augsburg and University of St. Gallen - School of Finance

Abstract:

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ESG investing, portfolio construction, equity portfolio management, carbon risk, climate change