GX Research Hub · English
GX & Decarbonization Research
This page provides an English interface to the gxceed GX paper corpus. The corpus aggregates papers from 14 contributing scholarly metadata sources and uses AI-assisted classification to identify signals related to measurement, policy narratives, outcomes, implementation, industrial adoption, and verification.
The goal is not only to discover papers, but to observe how GX research is distributed across research substance, implementation narratives, external expectations, implementation substance, and judgment formation.
Summaries are AI-assisted. Always refer to the original paper for authoritative conclusions.
Peer-reviewedCNJournalElectronic Library of Peter the Great Polytechnic University2025#Climate FinanceDOI
Green financing strategies in low-carbon ecommerce supply chains
Ся Мэн
This study integrates green finance with supply chain management to evaluate carbon reduction in e-commerce. Using entropy weight and panel regression on 18 Chinese listed firms, it finds a 1-unit increase in green finance index reduces emi…
Peer-reviewed🌍 GlobalJournalSystem Dynamics Review2021#Climate FinanceDOI
Science‐based analysis for climate action: how <scp>HSBC</scp> Bank uses the <scp>En‐ROADS</scp> climate policy simulation
Florian Kapmeier, Andrew S. Greenspan, Andrew Jones +1
This paper reports how HSBC Bank used the En-ROADS climate policy simulation to enhance employee understanding of climate risks and strengthen its sustainability strategy. Workshops increased participants' confidence and motivation for clim…
Peer-reviewed🌍 GlobalJournalCapital Markets Law Journal2023#Climate FinanceDOI
Can investors save the planet? NZAMI and fiduciary duty
Tom Gosling, Iain MacNeil
This paper examines the fiduciary duty implications for asset managers committed to the Net Zero Asset Manager Initiative (NZAMI) and investing in line with the 1.5°C goal. It evaluates strategies like portfolio decarbonization, tilting, ac…
Peer-reviewed🌍 GlobalJournalFrontiers in Built Environment2026#Climate FinanceDOI
Smart cities and the infrastructure metaverse: can data markets and securitization help close the financing gap?
Peter Adriaens, Juri Mattila
This paper explores the connection between smart city data value chains and infrastructure financing, proposing a multi-layer securitization framework. It maps the digital infrastructure stack from physical sensing to digital twins, contrac…
Peer-reviewedCNJournalInternational Journal of Financial Studies2026#Climate FinanceDOI
Do Green Bonds Deliver? Green Innovation, Financing Constraints, and High-Quality Development Among Chinese A-Share Listed Firms
Wang Y.
This paper empirically examines the impact of green bond issuance on green innovation and financing constraints among Chinese A-share listed firms. It investigates whether green bonds facilitate financing and contribute to high-quality deve…
Peer-reviewed🌍 GlobalJournalJournal of Risk and Financial Management2026#Climate FinanceDOI
Carbon Pricing Uncertainty and the Green Finance Ecosystem: Connectedness, Contagion, and Portfolio Strategies
Bouthaina Ben Othman, Rihab Bedoui Ben Salem, Heni Boubaker
This paper analyzes the propagation of EU ETS carbon price shocks to green finance markets using a DCC-GARCH connectedness framework. It finds that carbon allowance and Paris-aligned ETFs form a tightly connected bloc, while crude oil volat…
Peer-reviewed🌍 GlobalJournalInternational Journal of Banking and Finance2026#Climate FinanceDOI
CLIMATE RISK TRANSPARENCY AND FIRMS’ INTEREST COVERAGE RATIO IN EMERGING MARKETS
Nimas Melenia Mutiara Akbary, Irwan Trinugroho, Putra Pamungkas +1
This study examines whether disclosing climate risks increases debt costs for firms in emerging markets. Using firm-level data from Thomson Reuters/LSEG Eikon and System GMM estimation, it finds that disclosing firms face higher interest co…
Peer-reviewed🌍 GlobalJournalZenodo (CERN European Organization for Nuclear Research)2026#Climate FinanceDOI
Blockchain Technology in Climate Finance and Carbon Markets: Emerging Infrastructure, Market Dynamics, and the Road to Net Zero
Anson Joseph
This paper analyzes blockchain and DLT's role in climate finance and carbon markets, drawing on 26 peer-reviewed studies and market intelligence. It synthesizes 2025-2026 developments in ReFi, Web3, and Layer 2 architectures, introduces a B…
Peer-reviewed🌍 GlobalJournalSustainability Switzerland2024#Climate FinanceDOI
Does Green Finance Reduce Carbon Emissions? Global Evidence Based on System Generalized Method of Moments
Baştürk M.F.
This paper uses system GMM to analyze the impact of green finance on carbon emissions globally. It finds that green finance significantly reduces emissions, offering policy implications for promoting green finance.
Peer-reviewedCNJournalInternational Journal of Energy Research2026#Climate FinanceDOI
Green Finance and Renewable Energy Innovation: Addressing Financial Constraints for SDG Achievement in China
Cosimo Magazzino, Muhammad Haroon, Nawal Abdalla Adam
Using provincial panel data from 30 Chinese regions (2000-2020), this study examines how green finance (GF) affects renewable energy innovation. Employing VAR, GMM, and DID methods, it finds a strong positive effect (β=2.08) of GF availabil…
Preprint🌍 GlobalInternational Journal of Scientific Research in Engineering and Management2026#Climate FinanceDOI
Insurance Linked to Climate Risk, Green Bonds, and Carbon Markets: An Integrated Financial Instruments Perspective
Dr. P. Periasamy, Dr Ravimohan Rajmohan
This paper proposes an integrated framework analyzing climate-risk insurance, green bonds, and carbon markets as a unified climate-finance ecosystem. Through comparative case studies and systems modeling, it reveals feedback loops among the…
Peer-reviewedCNJournalScottish Journal of Political Economy2026#Climate FinanceDOI
Modeling Downside Risks for China's Security Markets: Does Greenness Make Bonds a Safer Haven?
Li X.M.
This paper models downside risks in China's security markets and examines whether greenness makes bonds a safer haven. It provides empirical evidence on the risk profile of green bonds, offering implications for investors' ESG strategies an…
🇨🇳 ChinaJournalExploring Science Academic Conference Series2026#Climate FinanceDOI
Analysis of the Quantitative Transmission Mechanism of Climate Risk in Green Financial Asset Pricing
Hao Wang
This review examines how climate risk is quantitatively priced into green financial assets through carbon premiums, climate scenario discounts, and default structures. It synthesizes theoretical logic, empirical evidence, and challenges, hi…
Peer-reviewed🇪🇺 EuropeJournalItalian Law Journal2025#Climate Finance
Towards Sustainability: The European Regulatory Framework for Green Finance in Real Estate
Casalini L.
This paper examines the European regulatory framework for green finance in the real estate sector, analyzing how regulations like the EU Taxonomy and SFDR impact sustainability assessment and financing. It provides implications for practiti…
Peer-reviewed🌍 GlobalJournalAsian Economic and Financial Review2026#Climate FinanceDOI
Green finance, innovation, and sustainable development: Panel evidence from G7 economies
Ali S.
This paper examines the impact of green finance and innovation on sustainable development using panel data from G7 economies, finding synergistic effects between environmental investment and technological innovation.
Peer-reviewed🇪🇺 EuropeJournalCorporate Governance an International Review2026#Climate FinanceDOI
The Role of Governance and Delegation in Climate Change Transparency by European Pension Funds
Christensen J.L.
This paper analyzes the role of governance and delegation in climate transparency by European pension funds. It suggests that internal governance and delegation to asset managers are key to improving disclosure.
Preprint🌍 GlobalZenodo (CERN European Organization for Nuclear Research)2026#Climate FinanceDOI
Sustainable Finance & Transition Economics in Asian Markets: A Comparative Study of the Capital-Market, Command-Control, and Concentration-Risk Models
Md. Arif- Uzzaman
This paper compares sustainable finance approaches in six Asian countries (China, Japan, Singapore, Indonesia, Bangladesh, Mongolia) and proposes a Three-Model Framework: Capital-Market, Command-Control, and Concentration-Risk. It identifie…
Peer-reviewed🌍 GlobalJournalPakistan Journal of Commerce and Social Sciences2026#Climate FinanceDOI
Climate Resilience, Green Finance and Sustainable Economic Development: An Evidence from High and Upper-Middle-Income Countries
Ghulam Muhammad Qamri, Muhammad Saeed, S. Makhmudov +1
This study analyzes 38 high- and upper-middle-income countries from 2011 to 2019 using a system GMM estimator, finding that both green finance and climate resilience positively impact sustainable development, but they are negatively correla…
Peer-reviewed🌍 GlobalJournalGlobalization and Health2026#Climate FinanceDOI
The energy transition and export-credit agencies: problems or solutions for planetary health equity?
Sharon Friel, Nicholas Frank
This paper examines how export credit agencies (ECAs) finance fossil fuels versus renewable energy globally using network analysis. It finds that fossil fuel investments dominate ECA energy finance by 12 times, and clean-energy flows to low…
Peer-reviewed🌍 GlobalJournalJournal Markcount Finance2026#Climate FinanceDOI
CLIMATE RISK AND FINANCIAL STABILITY: BUILDING RESILIENT FINANCIAL SYSTEMS IN THE FACE OF GLOBAL WARMING
Ari Purwanti, Ming Pong, Rit Som
This qualitative review examines how climate risk affects financial stability through physical, transition, and liability channels, exposing gaps in risk assessment, disclosure, and prudential regulation. It concludes that integrating clima…