Clean energy and fintech: A scientometric study on spillovers and hedging in investment portfolios

dc.contributor.affiliationUniversidade de Santiago de Compostela. Departamento de Economía Cuantitativa
dc.contributor.affiliationUniversidade de Santiago de Compostela. Departamento de Economía Financeira e Contabilidade
dc.contributor.authorLópez Penabad, Celia
dc.contributor.authorIglesias Casal, Ana
dc.contributor.authorMaside Sanfiz, José Manuel
dc.contributor.authorBen Larbi, Ons
dc.date.accessioned2025-05-20T08:23:43Z
dc.date.available2025-05-20T08:23:43Z
dc.date.issued2025
dc.description.abstractThis scientometric study delves into the integration of clean energy and fintech within investment portfolios, emphasising their role in sustainable development and Environmental, Social, and Governance (ESG) objectives. Through a systematic literature review (SLR) and advanced bibliometric analyses, including co-citation, bibliographic coupling, co-word analysis, and thematic mapping, this body of research identifies key thematic clusters and methodological advancements. It highlights the role of clean energy in diversified and resilient portfolios, the dynamic interplay between energy markets and fintech innovations, and the significance of global crises, such as COVID-19, in reshaping research priorities. Novel methodologies, including time-varying parameter vector autoregressive models (TVP-VAR), time-frequency connectedness frameworks, wavelet quantile correlation (WQC), nonparametric causality in quantile approaches, the tail event driven network technique (TENET), empirical mode decomposition-windowed-cross-correlation (EMD-WCC), wavelet-windowed-cross-correlations and the cross-quantilogram approach are showcased as critical tools for understanding interconnected market dynamics. The findings underscore the evolving relationship between green bonds, ESG assets, and traditional financial instruments, with an emphasis on their hedging potential and systemic risk implications. Furthermore, the study explores the impacts of regional energy transitions, particularly in Europe, on economic stability and competitiveness. By integrating bibliometric tools with cutting-edge methodological insights, this paper offers actionable strategies for policymakers, investors, and researchers wishing to align financial practices with global sustainability goals, by fostering resilience in increasingly volatile markets.
dc.description.peerreviewedSI
dc.description.sponsorshipThis work was supported by the research Group GI-1866-USC “Valoración Financeira Aplicada - VALFINAP”, Xunta de Galicia, ED431C 2024/08.
dc.identifier.citationLópez-Penabad, M. C., Iglesias-Casal, A., Maside-Sanfiz, J. M., & Larbi, O. B. (2025). Clean energy and fintech: A scientometric study on spillovers and hedging in investment portfolios. Energy Strategy Reviews, 59, 101703. https://doi.org/10.1016/J.ESR.2025.101703
dc.identifier.doi10.1016/J.ESR.2025.101703
dc.identifier.essn2211-4688
dc.identifier.issn2211-467X
dc.identifier.urihttps://hdl.handle.net/10347/41652
dc.journal.titleEnergy Strategy Reviews
dc.language.isoeng
dc.publisherElsevier
dc.relation.publisherversionhttps://doi.org/10.1016/J.ESR.2025.101703
dc.rights© 2025 The Authors. Published by Elsevier Ltd. This is an open access article under the CC BY license (http://creativecommons.org/licenses/by/4.0/).
dc.rightsAttribution 4.0 Internationalen
dc.rights.accessRightsopen access
dc.rights.urihttp://creativecommons.org/licenses/by/4.0/
dc.subjectClean energy
dc.subjectFintech
dc.subjectSpillovers
dc.subjectConnectivity
dc.subjectHedging strategies
dc.subjectInvestment portfolios
dc.subjectBibliometric analysis
dc.titleClean energy and fintech: A scientometric study on spillovers and hedging in investment portfolios
dc.typejournal article
dc.type.hasVersionVoR
dc.volume.number59
dspace.entity.typePublication
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relation.isAuthorOfPublication.latestForDiscovery90cdfb6d-3c66-4534-bb0e-231b11e91a4e

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