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为使碳交易项目获得尽可能大的收益,在对国内外政策、市场以及项目方法学设计机理进行研究的基础上,结合累积的实际操作经验,通过实例查找项目实际签发量与预估量之间形成偏差的主要原因,提出碳交易项目的风险控制措施与应对策略,可为今后新项目的申报和运营提供借鉴。
In order to make the carbon trading project gain as much as possible, on the basis of the research on policy design, market and project methodology of the project at home and abroad, combined with the accumulated practical operating experience, the actual project issuance and forecast The main reason for the formation of deviation between the proposed carbon trading risk control measures and coping strategies for future new projects to provide a reference for reporting and operation.