解码绿色债券促进可持续发展:一项混合综述与研究议程

Decoding Green Bonds for Sustainable Development: A Hybrid Review and Research Agenda

Journal of Economic Surveys · 2025
被引 4 · 同刊同年前 9%
人大 AABS 2

中文导读

通过分析744篇期刊文章,用文献计量和内容分析揭示绿色债券研究趋势、三大主题(减排、溢价与融资、关联性与投资组合风险),为政策制定者、发行方和投资者提供参考。

Abstract

ABSTRACT The green bond market and related scholarly research have grown exponentially recently. However, the literature remains scattered. This study addresses the gap by analyzing 744 Scopus‐indexed journal articles using a mix of bibliometric and content analyses to unveil trends, current dynamics, and knowledge structures. The bibliometric analysis shows dynamic transformation and differential development among clusters. It indicates the following three prominent research themes: (a) reducing carbon emissions, (b) premium and financing, and (c) connectedness and portfolio risk effects. From policymakers' perspective, the content analysis reveals positive linkages and channels between green bonds and the environment. Pertinent to issuers and investors, estimates of green bond premiums vary by time, context, and methodology. Future scholarly research should focus on causality, regional variations, and the role of policy design in the impact of green finance. Researchers must further investigate the motives of green bond investors and issuers.

绿色债券碳减排绿色溢价投资组合风险