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Examining the Impact of Environmental, Social, and Corporate Governance Factors on Long-Term Financial Stability of the European Financial Institutions: Dynamic Panel Data Models with Fixed Effects

Authors: Georgia Zournatzidou,Konstantina Ragazou,George Sklavos,Nikolaos Sariannidis
Publisher: MDPI AG
Publish date: 2025-1-2
ISSN: 2227-7072 DOI: 10.3390/ijfs13010003
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Dear Authors,

Thank you for your valuable work on ESG factors and financial stability. I noticed a few areas that could strengthen the paper: (1) the limited time frame (2019–2021) and regional sample skew may affect generalizability; (2) multicollinearity concerns (e.g., high correlations like 0.83 between ESG and Environmental Innovation) may impact regression reliability; and (3) the emphasis on marginally significant variables, such as “ethics,” might overstate their role. Could you address these to enhance clarity and robustness?

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