GX Research Hub · English
GX & Decarbonization Research
This page provides an English interface to the gxceed GX paper corpus. The corpus aggregates papers from 13 open 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-reviewedJournalEmerging Markets Finance and Trade2026#Climate FinanceDOI
The Market Effect of Green Bonds: Synergistic Impact of Internal Governance and External Attention
Chen Y.
This paper analyzes the synergistic impact of internal governance and external attention on the market effect of green bonds. It empirically examines how the interaction between issuers' internal governance mechanisms and external monitorin…
Peer-reviewedCNJournalMineral Economics2026#Climate FinanceDOI
China’s Economic outlook, mineral resources and green finance: the role of technological innovation
Wong W.K.
This paper discusses China's economic outlook, mineral resources, and green finance from the perspective of technological innovation. Without an abstract, specifics are unclear, but it suggests linkages between green finance and resource co…
Peer-reviewed🌍 GlobalJournalBrics Journal of Economics2025#Climate FinanceDOI
Green finance, financial development, and industrial growth: insights from the BRICS economies
Epor S.O.
This study analyzes the relationship between green finance, financial development, and industrial growth in BRICS economies. Empirical findings suggest green finance may positively influence industrial growth.
Peer-reviewedJournalEnvironment Development and Sustainability2024#Climate FinanceDOI
The impact of green finance on environmental degradation in BRI region
Chin M.Y.
This paper empirically analyzes the impact of green finance on environmental degradation in the Belt and Road Initiative (BRI) region.
Peer-reviewedCNJournalModern Economic Science2025#Climate FinanceDOI
A Theoretical Mechanism Study on Sustainable Finance Supporting the Development of New Quality Productive Forces
Wang Y.
This theoretical study explores mechanisms through which sustainable finance supports the development of 'new quality productive forces,' a concept linked to high-quality economic growth. It analyzes how financial tools can drive technologi…
Peer-reviewedCNJournalLand Degradation and Development2026#Climate FinanceDOI
Green Finance, Climate Stress and Sustainable Land Management in China's Land-Degraded Regions: Evidence of Spatial and Threshold Effects
Zheng X.
This study analyzes the impact of green finance and climate stress on sustainable land management in China's degraded regions, providing evidence of spatial and threshold effects that inform policy interventions.
Peer-reviewedConferenceIcimmi 2025 7th International Conference on Information Management and Machine Intelligence2026#Climate FinanceDOI
Leveraging Green Finance for Sustainable Development: Empirical Insights from India
Anifa M.
This paper empirically analyzes the impact of green finance on sustainable development in India. Using data, it clarifies the effectiveness and challenges of green finance.
Peer-reviewedJournalAustralian Economic Papers2026#Climate FinanceDOI
Green Finance Under Climate Risks: A Comparative Analysis of Hedging Effects Between Green Bonds and Green Stocks
Wang T.
This paper compares the hedging effects of green bonds and green stocks against climate risks. Through empirical analysis, it reveals differences in risk-hedging properties and demonstrates the utility of green finance in portfolio strategi…
Peer-reviewedJournalPacific Basin Finance Journal2026#Climate FinanceDOI
Climate risk disclosure and corporate bank debt financing: A pre-registered report
Bai X.
This pre-registered report examines the impact of climate risk disclosure on corporate bank debt financing. It analyzes the relationship between disclosure quality and bank loan terms, providing empirical evidence on whether transparency re…
Peer-reviewed🇪🇺 EuropeJournalJournal of Air Transport Management2026#Climate FinanceDOI
The impact of climate degradation originating from the aviation sector on financial development and ESG index: EU member states’ case
Polat M.A.
This paper analyzes the impact of climate degradation from the aviation sector on financial development and ESG indices in EU member states. It finds that aviation emissions negatively affect financial development and ESG performance, highl…
Peer-reviewedJournalInternational Journal of Advanced Multidisciplinary Research and Studies2026#Climate FinanceDOI
Promoting Green Finance in Vietnam: Current Situation, Challenges and Institutional Reform Solutions
Nguyen Hoang Son, Vu Thi Huyen
This paper analyzes Vietnam's green finance promotion (2021-2025) using qualitative methods and descriptive statistics. It finds rapid growth in green credit and green bonds, but notes small scale relative to needs, fragmented ESG data, lim…
Peer-reviewedJournalInternational Journal of Creative and Open Research in Engineering and Management2026#Climate FinanceDOI
Green Finance as a Pathway to Sustainable Development: Concept, Instruments, Challenges, and Prospects for Sustainability in India.
Santosh Gite Santosh Gite, Dr. Prajakta K Dr. Prajakta K, Dr. Priya Vasagadekar Dr. Priya Vasagadekar
This paper reviews the concept and instruments of green finance (green bonds, green loans, etc.) with a focus on India. It argues green finance is a strategic necessity for resilient development, highlighting its relevance for renewable ene…
Peer-reviewedJournalHumanities and Social Sciences Communications2026#Climate FinanceDOI
Carbon emissions and cash holdings in the context of economic indicators
Tahir Akhtar, Ghulam Dastgeer, Bazeet Olayemi Badru +2
This paper examines the relationship between corporate carbon emissions and cash holdings in the context of economic indicators. It investigates how environmental performance influences financial policy.
Peer-reviewed🌍 GlobalJournalJournal of Management Theory and Practices Research2026#Climate FinanceDOI
BLUE CARBON ECOTOURISM: A CONCEPTUAL FRAMEWORK ON MARINE ECOSYSTEM CONSERVATION AND SUSTAINABLE TOURISM MODELING
Altan ÇETİN, Mustafa Coşkuner
This paper proposes a conceptual framework for Blue Carbon Ecotourism (BCE), integrating carbon storage conservation with sustainable tourism. It presents a three-pillar model (ecosystem integrity, visitor education, blue economy revenue) a…
PreprintResearch Square2026#Climate FinanceDOI
From Carbon Price Shocks to Capital Shortfalls: A Network-Augmented Credit-Risk Framework for Climate Transition Cascades, with an Illustrative Application to Peru
PAUL RICARDO PRUDENCIO GALVEZ
This paper develops a network-augmented credit-risk framework to analyze how carbon price shocks propagate through the financial system, leading to capital shortfalls. It provides an illustrative application to Peru, assessing cascade risks…
Peer-reviewed🇪🇺 EuropeJournalEconomics Letters2026#Climate FinanceDOI
Climate and sovereign default risk
Lukas Balzer, Alena Miftakhova
This paper analyzes the impact of climate risk on sovereign default risk using an endogenous default model. It shows that chronic physical climate risk can reduce default incentives by increasing the value governments place on continued mar…
Peer-reviewedJournalFuture Business Journal2026#Climate FinanceDOI
Spillover connectedness among climate risk, cleantech and green bonds: evidence from quantile and frequency-dependent approach
Thomas Adjei Kuffour, Patrick Kwashie Akorsu, Peterson Owusu Junior
This study examines the dynamic interconnectedness of climate risks (physical and transition) with eight clean technology sectors and green bonds using quantile vector autoregressions (QVAR) on daily data from 2017 to 2024. Spillover effect…
Peer-reviewedJournalInternational Journal of Energy Economics and Policy2026#Climate FinanceDOI
Macroeconomic Determinants and Green Assets in Explaining Stock Return Dynamics: Evidence from Indonesia
Nurdina Nurdina, Nurkholis Nurkholis, Noval Adib +1
This study examines how macroeconomic variables (interest rates, inflation, exchange rates) affect green stock returns in Indonesia using data from 111 firms listed in the ESG Quality 45 Index. It finds that green assets serve as an effecti…
Peer-reviewedJournalVeredas do Direito2026#Climate FinanceDOI
DOES BEING GREEN PAY OFF? THE ROLE OF ESG PERFORMANCE AND CARBON INTENSITY IN SHAPING GREEN BOND FINANCING AMONG ASIAN FIRMS
Windy Lawrence, L. K. Wedari
This study examines how ESG performance and carbon emission intensity affect green bond issuance among Asian firms from 2019 to 2023. Results show ESG score is negatively correlated with green bond proportion, while carbon intensity is posi…
Peer-reviewed🇪🇺 EuropeJournalFrontiers in Sustainable Cities2026#Climate FinanceDOI
Scalable biochar-enriched agriculture model assessing financial viability of the sustainable temporary use for brownfields: the Špitálka case
Ladislava Issever Grochová, Marek Litzman, V. Solilová +1
This paper presents a simulation model assessing the financial viability of temporary agricultural use of brownfields, using the Špitálka site in Brno, Czechia as a case study. It compares Social Farming and Community Garden models with bio…