中国“气象×金融”探索天气衍生品发展的理论与实践综述

A review of theory and practice of the exploration and development of weather derivatives through the integration of meteorology and finance in China

  • 摘要: 在全球气候变化加剧、极端天气事件频发高发的背景下,天气风险已成为威胁宏观经济和金融系统稳定的重要因素。天气衍生品是管理此类风险的新型金融工具,但在中国仍属于空白领域。系统梳理了中国在政策支持、多方协同合作、天气指数编制、衍生品研发与应用等方面的实践进展,阐述了探索天气衍生品对于中国提升实体经济天气风险管理能力、挖掘气象数据价值及深化金融气象学科发展的重要意义。提出了对金融气象的未来发展方向:坚持服务实体经济需求、立足国情、借鉴国际经验、着力破解市场基础难题及构建跨部门协同联动格局,以期为中国探索天气衍生品发展路径提供参考。

     

    Abstract: In the context of intensifying global climate change and frequent occurrences of extreme weather events, weather risk has emerged as a critical factor threatening the stability of the macroeconomy and the financial system. Weather derivatives, as innovative financial instruments for managing such risks, remain an undeveloped sector in China. This paper systematically reviews China's practical progress in policy support, multi-stakeholder collaboration, weather index development, and derivative product development and application. It elaborates on the significance of exploring weather derivatives to strengthen weather risk management in the real economy, unlock the value of meteorological data, and promote the interdisciplinary development of financial meteorology. Finally, the paper proposes future directions for research in financial meteorology, including prioritizing the needs of the real economy, integrating international experiences with national conditions, addressing fundamental market challenges, and establishing cross-departmental collaborative mechanisms. These recommendations aim to provide a reference for the exploration of weather derivative development pathways in China.

     

/

返回文章
返回