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Climate change and investments in developing countries: weighing risks and response options

机译:发展中国家的气候变化与投资:权衡风险和应对方案

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This paper focuses on the practical implications of the risks that potential climate changes represent for investors in developing countries. To this end, it sheds light on the question of when investors should take precautions regarding future climate change. Moreover, it discusses how investors can take account of climate change risks at different levels of investment activities, namely at the project level (of relevance for both private investors and public investors) and at the national level (mostly of relevance for aid agencies). This includes a review of available methods to identify and prioritise responses within the activities or countries at risk. Finally, the paper classifies response options into generic types, arguing for each of them when it is most appropriate to be applied. It also discusses key potential constraints on these response options; and how investors can attempt to predict the performance of each response option with respect to the stated objectives.
机译:本文着重于潜在气候变化对发展中国家投资者的风险的实际影响。为此,它阐明了投资者何时应就未来的气候变化采取预防措施。此外,它还讨论了投资者如何在不同级别的投资活动中考虑气候变化风险,即在项目级别(与私人投资者和公共投资者均相关)和在国家层面(与援助机构相关)。这包括对可用方法的审查,这些方法可用于确定活动或处于危险国家的响应并确定其优先级。最后,本文将响应选项分为通用类型,并在最适合应用时针对每个选项进行了争论。它还讨论了这些响应选项的主要潜在限制;以及投资者如何根据既定目标尝试预测每种应对方案的效果。

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