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Titlebook: Economics and Management of Climate Change; Risks, Mitigation an Bernd Hansjürgens,Ralf Antes Book 2008 Springer-Verlag New York 2008 Chang

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发表于 2025-3-21 19:28:42 | 显示全部楼层 |阅读模式
书目名称Economics and Management of Climate Change
副标题Risks, Mitigation an
编辑Bernd Hansjürgens,Ralf Antes
视频video
概述Investigates the effects of climate change on companies in different sectors.Contributors from different countries and various disciplines ensure broad perspective.Integrates the perspectives of econo
图书封面Titlebook: Economics and Management of Climate Change; Risks, Mitigation an Bernd Hansjürgens,Ralf Antes Book 2008 Springer-Verlag New York 2008 Chang
描述.Climate change is one of the biggest challenges for mankind. Although there is increasing evidence that climate change is already occurring, there is neither sufficient knowledge as to what extent climate change poses risks to societies and companies, nor about adequate strategies to cope with these risks...Bringing together an international group of scholars from environmental economics, political science and business, this book describes, analyses and evaluates climate change risks and responses of societies and companies. The book contributes to the question of how climate change can be mitigated by discussing efficient and effective design of mitigation measures, in particular emissions trading and clean development mechanism (CDM). Placing special emphasis on the impact of climate change risks on business, the book investigates in which way selected sectors of the economy are affected and what measures they can undertake to adapt to climate change risks..
出版日期Book 2008
关键词Change; Climate Change; Climate Policy; Climate change policy; Environmental economics; Sustainable Devel
版次1
doihttps://doi.org/10.1007/978-0-387-77353-7
isbn_softcover978-1-4419-2650-0
isbn_ebook978-0-387-77353-7
copyrightSpringer-Verlag New York 2008
The information of publication is updating

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Evaluation of risk in cost-benefit analysis of climate changelues should be used. They can hardly be deduced from market behaviour, as the empirical risk aversion differs widely according to context. Therefore, an empirical survey has been conducted to enhance our understanding of empirical risk aversion in the context of climate change. First results give st
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Risks, vulnerability, and participation: a layered management approachsues such as climate change and resource scarcity. Greater community involvement has occurred both spontaneously and been encouraged within the federal government’s . approach, as reflected in the embrace of integrated water resource management (IWRM). This trend fits within the evolving global, dem
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Intensity targets: implications for the economic uncertainties of emissions tradingrowth and with less uncertain economic cost than absolute targets. Intensity targets are especially promoted for developing countries but also increasingly for a general climate agreement for the Post-Kyoto period. The aim of this paper is to put the existing theoretical and empirical results about
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Climate change, sustainable development and risk: realizing a financial fund within the TEM model ascies and other organisations. The possibility of establishing a fund supporting the aims of the Kyoto Protocol is currently one of the central topics for discussion. The key questions are: how can such a fund be realized and how can it be embedded in an optimal energy management?.We present a mathem
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