中国石油大学学报(社会科学版)2026,Vol.42Issue(1):1-11,11.DOI:10.13216/j.cnki.upcjess.2026.01.0001
新能源发展中的金融管理研究综述
Review on Financial Management Researches in New Energy Development:From the Perspectives of Financial Markets and Green Finance Policies
摘要
Abstract
Financial management is of great significance in facilitating new energy development in the context of China̍s carbon peaking and carbon neutrality goals and new requirements for the new energy industry.This paper,from the perspectives of financial markets and green finance policies,reviews relevant literature and summarizes research progress in the following four key areas:price forecas-ting of new energy-related financial assets,risk linkages between traditional and new energy markets,asset pricing and capital alloca-tion of new energy assets,as well as green finance market policies.The findings indicate that macroeconomic factors and big data can enhance price forecasting performance,and simultaneously mixed-frequency models help to incorporate macro variables and describe risk spillovers.Moreover,carbon emissions and climate risks have been integrate into asset pricing models,and policy instruments such as green credits,green bonds,and carbon taxes can,to some extent,promote the development of the new energy industry.Based on these findings,the paper proposes directions for future researches.关键词
新能源发展/金融管理/风险联动/绿色金融政策Key words
new energy development/financial management/risk linkages/green finance policy分类
管理科学引用本文复制引用
王玉东,何孟喜..新能源发展中的金融管理研究综述[J].中国石油大学学报(社会科学版),2026,42(1):1-11,11.基金项目
国家自然科学基金项目(72342003) (72342003)