摘要
发展绿色金融已经成为新时代推进绿色发展的重要举措,也是推动经济优化升级的重要抓手,绿色金融对环境污染治理也起着资源支撑的作用。为研究绿色金融对环境污染治理的影响效应,首先从理论方面分析绿色金融对环境污染治理的影响机制;其次,构建测度绿色金融发展水平指标,选取2012-2020年我国31省份的面板数据并采用熵值法测算我国绿色金融发展水平;再次,构建面板回归模型实证分析绿色金融发展与环境污染治理之间的关系。结果表明:从横向看,我国绿色金融发展有明显的“东强西弱”区域发展不均衡态势;从纵向看,我国2012-2020年绿色金融发展水平整体呈现上升趋势;绿色金融对环境污染程度的影响是负向的。最后,提出了相关政策建议。
The development of green finance has become an important measure to promote green development in the new era,as well as an important starting point to promote economic optimization and upgrading.Green finance also plays a resource supporting role in environmental pollution control.In order to study the impact of green finance on environmental pollution governance,the paper first analyzes the impact mechanism of green finance on environmental pollution governance from the theoretical perspective;second,the green finance development level measurement indicators were constructed,the panel data of 31 provinces in China from 2012 to 2020 were selected and the entropy method was used to calculate the green finance development level in China;third,the panel regression model was constructed to empirically analyze the relationship between green financial development and environmental pollution governance.The results show that:from a horizontal perspective,the development of green finance in China has an obvious unbalanced regional development trend of"strong in the east and weak in the west";from a vertical perspective,the overall development level of green finance in China from 2012 to 2020 is on the rise;the development of green finance has a negative impact on the degree of environmental pollution.Finaly,this paper puts forward relevant policy recommendations.
作者
周泽炯
陈笑
ZHOU Ze-jiong;CHEN Xiao(School of Economics,Anhui University of Finance and Economics,Bengbu Anhui,233030;School of Finance,Anhui University of Finance and Economics,Bengbu Anhui,233030)
出处
《山西大同大学学报(自然科学版)》
2023年第2期40-46,共7页
Journal of Shanxi Datong University(Natural Science Edition)
基金
安徽高校人文社会科学研究项目[SK2020A0011]。
关键词
绿色金融发展
环境污染治理
熵值法
面板回归模型
green financial development
environmental pollution control
entropy method
panel regression model