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Pessoas

  • Membros integrados

Florinda Silva

Doutoramento em Ciências Empresariais - Finanças Universidade do Minho

Sobre

Membro do Departamento de Gestão, Escola de Economia e Gestão da Universidade do Minho.
Membro da unidade de investigação NIPE.
É atualmente diretora da Licenciatura em Negócios Internacionais e membro da comissão diretiva do Doutoramento em Ciências Empresariais.
Colaborou, entre outras entidades, com a Universidade de Cabo Verde e a Universidade Jean Piaget de Angola.

 

Áreas de interesse

Avaliação do desempenho de carteiras de ativos financeiros
Investimentos socialmente responsáveis
mercado de obrigações.

Publicações

Badía, G , Cortez, M C , & Silva, F (2024)

Do investors benefit from investing in stocks of green bond issuers?

Economics Letters, 242, 111859 DOI
Cortez, M C , Andrade, N , & Silva, F (2022)

The environmental and financial performance of green energy investments: European evidence

Ecological economics, 197 DOI
Silva, F , Ferreira, A , & Cortez, M C (2024)

The performance of green bond portfolios under climate uncertainty: A comparative analysis with conventional and black bond portfolios

Research in International Business and Finance, 70, 102354 DOI
Abadi, R T , & Silva, F (2022)

Do Islamic fundamental weighted indices outperform their conventional counterparts? An empirical investigation during the crises in the MENA region

Eurasian Economic Review, 12(2), 241-266 DOI
Adcock, C , Areal, N , Cortez, M C , Oliveira, B , & Silva, F (2020)

Does the choice of fund performance measure matter?

Investment Analysts Journal, 49(1), 53–77 DOI
Abadi, R , & Silva, F (2019)

Common risk factors in stock returns in the mena region

Asian Journal of Business and Accounting, 12(2), 29–60 DOI
Pereira, P , Cortez, M C , & Silva, F (2019)

Socially responsible investing and the performance of Eurozone corporate bond portfolios

Corporate Social Responsibility and Environmental Management, 26, 1407–1422 DOI
Abadi, R , & Silva, F (2019)

Do Fundamental Portfolios Outperform in the MENA Equity Markets?

International Journal of Islamic and Middle Eastern Finance and Management, 12(2), 265–281 DOI
Leite, C , Cortez, M C , Silva, F , & Adcock, C (2018)

The performance of socially responsible equity mutual funds: Evidence from Sweden

Business Ethics, 27(2), 108–126 DOI
Silva, F , & Cortez, M C (2016)

The performance of US and European green funds in different market conditions

Journal of Cleaner Production, 135, 558–566 DOI
Areal, N , Cortez, M C , & Silva, F (2013)

The conditional performance of US mutual funds over different market regimes: Do different types of ethical screens matter?

Financial Markets and Portfolio Management, 27(4), 397–429 DOI
Cortez, M C , Silva, F , & Areal, N M P C (2012)

Socially responsible investing in the global market: The performance of US and European funds

International Journal of Finance and Economics, 17(3), 254–271 DOI
Adcock, C J , Cortez, M C , Armada, M J R , & Silva, F (2012)

Time varying betas and the unconditional distribution of asset returns

Quantitative Finance, 12(6), 951–967 DOI
Cortez, M C , Silva, F , & Areal, N (2009)

The performance of european socially responsible funds

Journal of Business Ethics, 87, 573–588 DOI
Silva, F , Cortez, M C , & Armada, M R (2003)

Conditioning Information and European Bond Fund Performance

European Financial Management, 9(2), 201–230 DOI
Oliveira, I , Silva, F , & Martins, F (2016)

The (Un)Conditional Relation Risk Factors Market, Size and Value: Evidence from Five European Countries

Revista De Gestão, Finanças e Contabilidade, 6(3), 177–195 DOI
Adcock, C , Areal, N , Armada, M , Cortez, M C , Oliveira, B , & Silva, F (2012)

Tests of the Correlation between Portfolio Performance Measures

Journal of Financial Transformation, 35, 123–132 DOI
Silva, F , Cortez, M C , & Armada, M J R (2005)

The persistence of European bond fund performance: Does conditioning information matter?

International Journal of Business, 4(10), 341–361 DOI
Silva, F , Cortez, M C , & Armada, M R (2004)

Bond return predictability: The European market

International Journal of Finance, 16(3), 3083–3114 DOI

Projectos

Certificações/rótulos de sustentabilidade na Europa: entidades governmentais versus entidades privadas

Financiamento: Institut Louis Bachelier

Duração: 2022-01-14 - 2023-01-14

Entidades governamentais versus atores privados em labelling de sustentabilidade na União Europeia

Financiamento: Labex MME-DII

Duração: 2021-12-01 - 2023-02-28

Ensino

Análise e Planeamento Financeiro Licenciatura
Análise Financeira Mestrado
Caso de Gestão Licenciatura
Finanças Internacionais Mestrado

ODS