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1.
Since 1970, global agricultural production has more than doubled with agriculture and land-use change now responsible for ∼1/4 of greenhouse gas emissions from human activities. Yet, while greenhouse gas (GHG) emissions per unit of agricultural product have been reduced at a global level, trends in world regions have been quantified less thoroughly. The KPI (Kaya-Porter Identity) is a novel framework for analysing trends in agricultural production and land-use change and related GHG emissions. We apply this to assess trends and differences in nine world regions over the period 1970–2007. We use a deconstructed analysis of emissions from the mix of multiple sources, and show how each is changing in terms of absolute emissions on a per area and per produced unit basis, and how the change of emissions from each source contributes to the change in total emissions over time. The doubling of global agricultural production has mainly been delivered by developing and transitional countries, and this has been mirrored by increased GHG emissions. The decoupling of emissions from production shows vast regional differences. Our estimates show that emissions per unit crop (as kg CO2-equivalents per Giga Joule crop product), in Oceania, have been reduced by 94% from 1093 to 69; in Central & South America by 57% from 849 to 362; in sub-Saharan Africa by 27% from 421 to 309, and in Europe by 56% from 86 to 38. Emissions per unit livestock (as kg CO2-eq. GJ−1 livestock product) have reduced; in sub-Saharan Africa by 24% from 6001 to 4580; in Central & South America by 61% from 3742 to 1448; in Central & Eastern Asia by 82% from 3,205 to 591, and; in North America by 28% from 878 to 632. In general, intensive and industrialised systems show the lowest emissions per unit of agricultural production.  相似文献   

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Limiting climate change to 2 °C with a high probability requires reducing cumulative emissions to about 1600 GtCO2 over the 2000–2100 period. This requires unprecedented rates of decarbonization even in the short-run. The availability of the option of net negative emissions, such as bio-energy with carbon capture and storage (BECCS) or reforestation/afforestation, allows to delay some of these emission reductions. In the paper, we assess the demand and potential for negative emissions in particular from BECCS. Both stylized calculations and model runs show that without the possibility of negative emissions, pathways meeting the 2 °C target with high probability need almost immediate emission reductions or simply become infeasible. The potential for negative emissions is uncertain. We show that negative emissions from BECCS are probably limited to around 0 to 10 GtCO2/year in 2050 and 0 to 20 GtCO2/year in 2100. Estimates on the potential of afforestation options are in the order of 0–4 GtCO2/year. Given the importance and the uncertainty concerning BECCS, we stress the importance of near-term assessments of its availability as today’s decisions has important consequences for climate change mitigation in the long run.  相似文献   

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Proactive flood damage mitigation on the household level is seen as a crucial element of comprehensive flood risk management. The ongoing socio-economic development and climate change will further increase the relevance of flood risks in the future. This paper analyses the causal effect of flood experience on mitigation decisions of households. It contributes to the emerging literature on the determinants of private flood mitigation and adopts data which has rarely been used in the field: Instead of cross-sectional data, longitudinal data of household surveys before and after a major flood event in Germany is used (N > 7,400). Flood experience is elicited by three different data sources: reports of heads of households, issuance of flood alerts, and damage reports of the insurance industry. The results show a causal effect of insured flood damage on private flood mitigation and a correlation of mitigation with self-reported flood experience. The estimated effects differ for mitigation types (higher for behavioural options, such as “adapted use”) and household types (higher for better educated heads of households).  相似文献   

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《Climate Policy》2013,13(3):279-294
Abstract

In this paper, benefits from increasing cross-border cooperation under future CO2 commitments in the Nordic countries are examined and evaluated. Four cooperative strategies are analyzed and valued separately: cross-border electricity trade, cross-border emission-permit trade, the introduction of a trans-Nordic natural gas transmission grid, and, finally, utilization of all these three strategies simultaneously. The valuation is done under varying CO2 commitments and under three different scenarios for future energy demand and technological development. In conducting this analysis, the energy-systems model-generator MARKAL (MARKet ALlocation) was used to model the Nordic energy system. It is shown that all cooperative strategies do lower the abatement costs considerably, especially if the strategy including full cooperation is utilized. In this case, additional costs from meeting CO2 targets may be at least halved for commitments less than 10% reduction until 2050 based on emissions in 1995. No significant difference between low and high CO2 commitments could be observed in the size of the benefits from cooperation, expressed in billions (109) of Swedish crowns. Benefits from cooperation are generally larger for scenarios including relatively higher future energy demand.  相似文献   

6.
This paper synthesizes the results from the model intercomparison exercise among regionalized global energy-economy models conducted in the context of the RECIPE project. The economic adjustment effects of long-term climate policy are investigated based on the cross-comparison of the intertemporal optimization models ReMIND-R and WITCH as well as the recursive dynamic computable general equilibrium model IMACLIM-R. A number of robust findings emerge. If the international community takes immediate action to mitigate climate change, the costs of stabilizing atmospheric CO2 concentrations at 450?ppm (roughly 530?C550?ppm-e) discounted at 3% are estimated to be 1.4% or lower of global consumption over the twenty-first century. Second best settings with either a delay in climate policy or restrictions to the deployment of low-carbon technologies can result in substantial increases of mitigation costs. A delay of global climate policy until 2030 would render the 450?ppm target unachievable. Renewables and CCS are found to be the most critical mitigation technologies, and all models project a rapid switch of investments away from freely emitting energy conversion technologies towards renewables, CCS and nuclear. Concerning end use sectors, the models consistently show an almost full scale decarbonization of the electricity sector by the middle of the twenty-first century, while the decarbonization of non-electric energy demand, in particular in the transport sector remains incomplete in all mitigation scenarios. The results suggest that assumptions about low-carbon alternatives for non-electric energy demand are of key importance for the costs and achievability of very low stabilization scenarios.  相似文献   

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The purpose of the present paper is to disentangle the mechanisms that connect climate change-induced disasters, inequality and vulnerability by accounting for both directions of causality. We do so by means of a simultaneous equations approach on a panel of 149 countries from 1992 to 2018. The empirical analysis reveals that countries with higher levels of income inequality suffer greater damages when hit by a natural disaster. At the same time, inequality is found to increase the number of people affected by disasters. Our analysis discloses the existence of a vicious cycle that keeps some countries stuck in a disasters-inequality trap.  相似文献   

8.
In the face of climate change and extreme weather events which continue to have significant impacts on agricultural production, climate-smart agriculture (CSA) has emerged as one important entry point in reducing the emission of greenhouse gases and building climate resilience while ensuring increases in agricultural productivity with ensuing implications on food and nutrition security. We examine the relationship between CSA, land productivity (yields), and food security using a survey of farm households in Ghana, Mali, and Nigeria. To understand the correlates of the adoption of these CSA practices as well as the association between CSA, yields, and food security, we use switching regressions that account for multiple endogenous treatments. We find a positive association between the adoption of CSA practices and yields. This increase in yields translate to food security as we observe a positive association between CSA and food consumption scores. Although we show modest associations between the independent use of CSA practices such as adopting climate-smart groundnut varieties, cereal-groundnut intercropping, and the use of organic fertilizers, we find that bundling these practices may lead to greater yield and food security gains. Under the different combinations, the use of climate-smart groundnut varieties exhibit the strongest association with yields and food security. We also estimate actual-counterfactual relationships where we show that the adoption of CSA practices is not only beneficial to CSA adopters but could potentially be beneficial to non-CSA adopters should they adopt. These results have implications for reaching some of the sustainable development targets, especially the twin goals of increasing agricultural productivity and maintaining environmental sustainability.  相似文献   

9.
This paper considers the ground area which affects the properties of fluid parcels observed at a given spot in the Planetary Boundary Layer (PBL). We examine two source-area functions; the footprint, giving the source area for a measurement of vertical flux: and the distribution of contact distance, the distance since a particle observed aloft last made contact with the surface. We explain why the distribution of contact distance extends vastly farther upwind than the footprint, and suggest for the extent of the footprint the inequalities: % MathType!MTEF!2!1!+-% feaafeart1ev1aaatCvAUfeBSjuyZL2yd9gzLbvyNv2CaerbuLwBLn% hiov2DGi1BTfMBaeXatLxBI9gBaerbd9wDYLwzYbItLDharqqtubsr% 4rNCHbGeaGqiVu0Je9sqqrpepC0xbbL8F4rqaqpepeea0xe9qqVa0l% b9peea0lb9Lq-JfrVkFHe9peea0dXdarVe0Fb9pgea0xa9W8qr0-vr% 0-viWZqaceaabiGaciaacaqabeaadaqaaqaaaOabaeqabaGaamyvam% aalaaabaGaamiAaaqaaiabeo8aZnaaBaaaleaacaWGxbaabeaakiaa% cIcacaWGObGaaiykaaaacqGH8aapcaWG4bGaeyipaWJaamyvaKazaa% iadaGabaqaamaaDaaajqwaacqaaiaadIgacaGGVaGabmOEayaacaGa% aiilaiaabccacaGGVbGaaiiDaiaacIgacaGGLbGaaiOCaiaacEhaca% GGPbGaai4CaiaacwgaaeaacaWGubWaaSbaaKazcaiabaGaamitaaqa% baqcKfaGaiaacIcacaWGObGaaiykaiaabYcacaqGGaGaaeiAaiaabc% cacaGGHbGaaiOyaiaac+gacaGG2bGaaiyzaiaabccacaGGZbGaaiyD% aiaackhacaGGMbGaaiyyaiaacogacaGGLbGaeyOeI0IaaiiBaiaacg% gacaGG5bGaaiyzaiaackhaaaaajqgaacGaay5EaaaakeaaaeaacaGG% 8bGaamyEaiaacYhacqGH8aapcqaHdpWCdaWgaaWcbaGaamODaaqaba% GccaGGOaGaamiAaiaacMcadaWcaaqaaiaadIhaaeaacaWGvbaaaaaa% aa!7877!\[\begin{array}{l} U\frac{h}{{\sigma _W (h)}} < x < U\left\{ {_{h/\dot z,{\rm{ }}otherwise}^{T_L (h){\rm{, h }}above{\rm{ }}surface - layer} } \right. \\ \\ |y| < \sigma _v (h)\frac{x}{U} \\ \end{array}\] where U is the mean streamwise (x) velocity, h is the observation height, L is the Lagrangian timescale, v and w are the standard deviations of the cross-stream horizontal (y) and vertical (z) velocity fluctuations, and is the Lagrangian Similarity prediction for the rate of rise of the centre of gravity of a puff released at ground.Simple analytical solutions for the contact-time and the footprint are derived, by treating the PBL as consisting of two sub-layers. The contact-time solutions agree very well with the predictions of a Lagrangian stochastic model, which we adopt in the absence of measurements as our best estimate of reality, but the footprint solution offers no improvement over the above inequality.  相似文献   

10.
We developed the Livelihood Vulnerability Index (LVI) to estimate climate change vulnerability in the Mabote and Moma Districts of Mozambique. We surveyed 200 households in each district to collect data on socio-demographics, livelihoods, social networks, health, food and water security, natural disasters and climate variability. Data were aggregated using a composite index and differential vulnerabilities were compared. Results suggest that Moma may be more vulnerable in terms of water resources while Mabote may be more vulnerable in terms of socio-demographic structure. This pragmatic approach may be used to monitor vulnerability, program resources for assistance, and/or evaluate potential program/policy effectiveness in data-scarce regions by introducing scenarios into the LVI model for baseline comparison.  相似文献   

11.
Proxy reconstructions suggest that peak global temperature during the past warm interval known as the Medieval Climate Anomaly (MCA, roughly 950–1250 AD) has been exceeded only during the most recent decades. To better understand the origin of this warm period, we use model simulations constrained by data assimilation establishing the spatial pattern of temperature changes that is most consistent with forcing estimates, model physics and the empirical information contained in paleoclimate proxy records. These numerical experiments demonstrate that the reconstructed spatial temperature pattern of the MCA can be explained by a simple thermodynamical response of the climate system to relatively weak changes in radiative forcing combined with a modification of the atmospheric circulation, displaying some similarities with the positive phase of the so-called Arctic Oscillation, and with northward shifts in the position of the Gulf Stream and Kuroshio currents. The mechanisms underlying the MCA are thus quite different from anthropogenic mechanisms responsible for modern global warming.  相似文献   

12.
Global forest governance has recently seen the emergence of a timber legality regime. In an aim to regulate global timber trade flows, the US, the EU and Australia adopted laws prohibiting illegally harvested timber from entering their markets. While some view this as a milestone for environmental and social stewardship in the global forest sector, the effects of the regime remain contested.In order to better understand likely effects of the regime, we apply the Discursive Agency Approach to analyze discursive dynamics of policy making among the stakeholders involved in the creation of each law and their effects on governance design and implementation.Based on 120 interviews in the US, Australia, the EU and with global organizations/institutions, as well as 19 informal conversations, 300 documents, and participant observation data, our results show that legality is a powerful concept in forest governance. Drawing attention away from sustainability, it enables discursive divides between the global North and South as well as between wood producers and importers. These divides were crucial for the emergence of the legality regime. While some forest industry groups perceived the new laws as an opportunity, others saw them as a threat. In all three regions this led to coalitions between supportive industry factions and environmental groups. These coalitions were based on a complementarity of goals; environmentalists aimed to protect “Third World” forests while industry groups aimed to protect “First World” markets against growing competition from these former regions. Yet each coalition was composed differently and employed distinct – albeit related – discursive strategies in policy making. This affected the design of each law and its implementation. The shift from sustainability towards legality re-surfaces prominently in implementation. Stakeholder discussions range from coercive “threatening” to more learning-oriented “educating” approaches. We conclude by discussing the effects these discursive struggles in Australia, the EU and the US have on the global timber legality regime.  相似文献   

13.
The paper investigates topics, emphases, frames and absences in the Summary for Policymakers parts of the three Working Group reports in the IPCC 5th Assessment Report and the Summary for Policymakers of the Synthesis Report. It explores similarities and differences by using various tools of lexical and discourse analysis, combining quantitative and qualitative methods. The main results are these: First, each Working Group’s Summary reflects not only the Working Group’s distinctive mandate but also a distinctive intellectual framing. Second, although there are some significant differences in the emphases given to different themes from the Working Groups, the Synthesis Summary covers the main topics of the three other Summaries, and constitutes a relatively integrated summary of the complete Assessment Report. Third, we find though that the Synthesis Summary centrally follows up the risk framing and language which are prominent in Working Group II but semi-absent in the other Working Groups, as part of constructing a policy-relevant statement from the three distinctive reports. In addition, the Synthesis Summary makes use of linguistic devices which contribute to ‘amplify’ the strength of statements, as part of transferring messages effectively from the scientific context to a policy-maker audience. Fourth, we find that the style and tone of the IPCC Summaries conduce also to important absences and imbalances in emphasis: main victims of climate change (particular groups of vulnerable people) remain virtually invisible in the Summaries, unlike the impacts in nature and ecological systems or the aggregate economic impacts, and correspondingly the challenges, options and opportunities for action remain relatively underdeveloped in the analysis.  相似文献   

14.
Environmental artists have risen to the challenge of communicating the urgency of public action to address environmental problems such as air pollution and climate change. Joining this challenge, the immersive artwork Pollution Pods (PPs) was created through a synthesis of knowledge from the fields of environmental psychology, empirical aesthetics, and activist art. This study summarizes the scientific process in this transdisciplinary project and reports the findings from a questionnaire study (N = 2662) evaluating the effect of the PPs on visitors. Data were collected at the first two exhibitions of the installation, one in a public park in Trondheim, Norway, and one at Somerset House, London, UK. Intentions to act were strong and slightly increased after visiting the art installation. Individual changes in intentions were positively associated with self-reported emotions of sadness, helplessness, and anger and self-reported cognitive assessment their awareness of the environmental consequences of their action, their willingness to take responsibility for their consequences, and belief in the relevance of environmental problems for daily life. Education and age were negatively associated with intentions. Despite favorable intentions, however, taking advantage of an actual behavioral opportunity to track one's climate change emissions behavior after visiting the PPs could not be detected. We conclude that environmental art can be useful for environmental communication and give recommendations for communicators on how to best make use of it. We emphasize the potential benefits of art that encourages personal responsibility and the need for valid behavior measures in environmental psychological research.  相似文献   

15.
We discuss here a mistake in the analysis of Previdi and Liepert (Clim Dyn, 2011). In that article, the surface albedo radiative kernels were calculated incorrectly. We present in this brief comment the corrected albedo kernels. We then use these kernels to compute the surface albedo radiative feedback in climate model simulations driven by increasing carbon dioxide, as in Previdi and Liepert (Clim Dyn, 2011). We find that the use of the corrected albedo kernels does not change the conclusions of our earlier work.  相似文献   

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By analyzing the results of a realistic ocean general circulation model (OGCM) and conducting a series of idealized OGCM experiments, the dynamics of the Kuroshio Current System is examined. In the realistic configuration, the Kuroshio Current System is successfully simulated when the horizontal resolution of OGCMs is increased from 1/2° to 1/10°. The difference between the two experiments shows a jet, the model’s Kuroshio Extension, and a pair of cyclonic and anticyclonic, “relative,” recirculation gyres (RRGs) on the northern and southern flanks of the jet. We call them recirculation gyres because they share some features with ordinary recirculation gyres in previous studies, and we add the adjective “relative” to emphasize that they may not be apparent in the total field. Similar zonal jet and RRGs are obtained also in the idealized model with a rectangular basin and a flat bottom with a horizontal resolution of 1/6°. The northern RRG is generated by the injection of high potential vorticity (PV) created in the viscous sublayer of the western boundary current, indicating the importance of a no-slip boundary condition. Since there is no streamline with such high PV in the Sverdrup interior, the eastward current in the northern RRG region has to lose its PV anomaly by viscosity before connecting to the interior. In the setup stage this injection of high PV is carried out by many eddies generated from the instability of the western boundary current. This high PV generates the northern RRG, which induces the separation of the western boundary current and the formation of the zonal jet. In the equilibrium state, the anomalous high PV values created in the viscous sublayer are carried eastward in the northern flank of the zonal jet. The southern RRG is due to the classical Rhines–Young mechanism, where low PV values are advected northward within the western boundary inertial sublayer, and closed, PV-conserving streamlines form to the south of the Kuroshio Extension, allowing slow homogenization of the low PV anomalies. The westward-flowing southern branch of this southern RRG stabilizes the inertial western boundary current and prevents its separation in the northern half of the Sverdrup subtropical gyre, where the western boundary current is unstable without the stabilizing effect of the southern RRG. Therefore, in the equilibrium state, the southern RRG should be located just to the north of the center of the Sverdrup subtropical gyre, which is defined as the latitude of the Sverdrup streamfunction maximum. The zonal jet (the Kuroshio Extension) and the northern RRG gyre are formed to the north of the southern RRG. This is our central result. This hypothesis is confirmed by a series of sensitivity experiments where the location of the center of the Sverdrup subtropical gyre is changed without changing the boundaries of the subtropical gyre. The locations of the zonal jets in the observed Kuroshio Current System and Gulf Stream are consistent as well. Sensitivities of the model Kuroshio Current System are also discussed with regard to the horizontal viscosity, strength of the wind stress, and coastline.  相似文献   

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