Abstract

Financial industry and insurance industry are both the leading business in our economy and optimal benchmark business for social responsibility performance evaluation. Therefore, the paper took 27 listed companies in financial and insurance industry in Shanghai and Shenzhen A-share market as the objects of study, and made an empirical analysis on the correlation of financial performance and social responsibility performance in this industry by using the method of regression analysis. The results proved that good financial performance can guarantee the good social responsibility performance which contributes to the improvement of financial performance.

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