The lab conducts top edge research in Financial Analysis and Corporate Finance.
- The research in Financial Analysis mostly concerns the analysis of the performance and risks of financial products or investment such as stocks and investment funds. This involves the definition of risk factors and models to determine expected returns based on appropriate risk measures.
- The research in Corporate Finance mostly deal with investment decisions and the process of value creation for companies, shareholders and stakeholders. Recently, the focus has been made on venture and private equity investment.
The lab addresses sustainability issues in both axes (Financial Analysis and Corporate Finance) in a new research program called “Responsible Investment”.
Main Publications
Current projects in Responsible Investment
In 2021, the Global Sustainable Investment Alliance (GSIA) reported that about $35 trillion of assets are professionally managed with the goal of incorporating environmental (E), social (S), or governance (G) norms or principles in the investment process, as measured through “ESG” ratings. This constitutes one third of the total assets under management worldwide (GSIA, 2020). Members of Pricelab conducts research to provide a better understanding of the financial materiality of ESG ratings, i.e., to understand how this non-financial information impacts financial theory, especially the risk-return equilibrium.