气候变化
金融市场
单位(环理论)
经济
业务
自然资源经济学
财务
生态学
数学教育
数学
生物
出处
期刊:Finance and economics discussion series
[Board of Governors of the Federal Reserve System]
日期:2022-07-01
卷期号: (2022-048): 1-72
被引量:2
标识
DOI:10.17016/feds.2022.048
摘要
This article reviews the rapidly proliferating economic literature on climate change and financial policy. We find: (1) enduring challenges in estimating the statistical properties of a changed climate; (2) emerging evidence of financial markets pricing in climate-related risks; and (3) a range of significant institutional distortions preventing such pricing from being complete. Finally, we argue that geographic regions may be an especially fruitful unit of analysis for understanding the financial impact of climate change.
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