1. The Cross-Section of Volatility and Expected Return;Andrew Ang;Journal of Finance,2006
2. An Empirical Examination of the Relationship between Corporate Social Responsibility and Profitability;Kenneth E Aupperle;Academy of Management Journal,1985
3. Enjoying the Benefits of the Low-Volatility Anomaly;Adrian Banner;Institutional Investor,2012
4. The Volatility Effect: Lower Risk without Lower Return;David Blitz;Journal of Portfolio Management,2007