Doruk Gunaydin is an Associate Professor of Finance at Sabanci Business School in Istanbul. He received his BS in Electronics Engineering from Sabanci University in 2009, his MS in Mathematical Finance from Boston University in 2010 and his PhD in Finance from Sabanci University in 2016. Dr. Günaydın’s research interests include asset pricing in international markets, determinants of stock returns, household finance and downside risk. His previous research has been published in various journals such as Journal of Financial Economics, Journal of Portfolio Management, Journal of International Money and Finance among others. He teaches undergraduate and graduate courses on investments, fixed-income analytics, portfolio theory, financial management and corporate valuation.
VoxEU Column
Why carbon emissions are associated with higher stock returns
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- Environment ![](../../../../../../../../../../var/folders/34/zq18d8kx7kbgby0j06p_j6t40000gn/T/TemporaryItems/NSIRD_screencaptureui_EM2XPo/Screenshot 2022-01-04 at 17.01.16.png)
- Financial Markets