摘要
金融风险是当今学界的热议话题,但严峻的绿色金融风险则不为人熟知。本文借鉴金融风险基本理论,逐次分析绿色金融风险的来源与特点,与一般意义上的金融风险形成联系的同时,突出其独特性。之后,本文梳理了几种较为成熟的绿色金融风险辨识方法与量化工具,剖析了绿色金融风险管理常见的策略。在此基础上,结合现存问题,本文提出一系列政策建议,力图为早日实现“碳中和”目标、推进绿色发展和生态文明建设提供理论支撑和经验借鉴。
Financial risk has been a heated topic in today's academic circles,but the severe green financial risk is not well known.Based on the basic theory of financial risk,this paper analyzes the sources and characteristics of green financial risk,and then highlights its uniqueness while forming a connection with the general sense of financial risk.After that,we summarize several mature green financial risk identification methods and quantitative tools,and discuss the common strategies of green financial risk management.On this basis,combined with the existing problems,this paper puts forward a series of policy suggestions,trying to provide theoretical support for the earlier realization of the"carbon neutral"goal,as well as promote green development and ecological civilization construction.
作者
王昕彤
刘瀚斌
XINTONG WANG;HANBIN LIU(School of Economics,Fudan University;Research Center for Environmental Economics,Fudan University)
出处
《工信财经科技》
2021年第3期31-41,共11页
Review of Financial & Technological Economics
关键词
绿色金融
绿色金融风险
金融风险理论
风险管理
green finance
green financial risk
theory of financial risk
risk management