Financial modeling, risk management of energy and environmental instruments and derivatives: past, present, and future

能源与环境工具及衍生品的金融建模、风险管理:过去、现在和未来

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Abstract

In this preface, we investigate the past, study the present, and look for the future of financial modeling, risk management of energy and environmental instruments, and derivatives based on articles selected in this special issue (SI). We also summarize the significant findings of those articles and identify the research trends.

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