通过投资组合多样化能否降低京都机制的風險?来自瑞典AIJ项目的证据

Can the Risks of the Kyoto Mechanisms be Reduced Through Portfolio Diversification? Evidence from the Swedish AIJ Program

Environmental & Resource Economics · 2003
被引 25
人大 A-ABS 3
环境经济学金融经济学气候变化政策投资组合理论