Dynamics of National Position in Climate Change Negotiations: An Analysis of Emission, Cost and Regime Support

Fang-Ting Cheng
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Abstract

There has been marked change in recent years in the positions taken by many nation states involved in climate change negotiations under the United Nations Framework Convention on Climate Change (UNFCCC). While these changes in position track with shifting priorities of both developing and developed countries, a consensus on how a nation formulates its negotiation policy has not been reached, and therefore understanding these vicissitudes in global climate talks have thus far been difficult.Traditional approaches to explaining a nation’s position on climate change are often rooted in an interest-based methodological framework, such as Detlef Sprinz and Tapani Vaahtoranta’s (S&V) well-known cost-benefit model. While the S&V approach offers valuable insight and an intellectual base from which to conduct further study, it fails, as this paper demonstrates, to stand the test of time. That is, a thorough review of the history on global climate change negotiation reveals inaccuracies in the S&V model, particularly with regard to one of its primary variables – ecological vulnerability – which is difficult to measure and the model itself is fails to accurately account for processes of change in strategy formation. In light of these shortcomings, this paper offers an alternative analytical framework to better understand how a nation formulates its climate change negotiation policy and strategy.To this end, a four variable matrix – patterns A, B, C, and D – is developed which keys off of two central inputs affecting climate change negotiations: emission and cost. Emission, a nation’s share of the global greenhouse gas (GHG) portfolio, is representative of a country’s responsibility to actively engage with the global community on climate change. Cost can be understood as the expense incurred by a country that seeks to reduce its GHG emissions, and thus is a means of gauging the rational attractiveness for it to do so. When taken together and viewed under the four variable matrix developed in this paper, one is able to better understand the fundamental features influencing a country’s position on climate change negotiations. In order to analyze changes in national position, the variables of emission and cost are taken alongside a third factor – national support for climate change negotiation regime. This variable explores the motivation and impetus underlying a country’s decision to recalibrate its negotiation strategy, and incorporates such influences as national interest and political factors. In order to test the model formulated in this paper, a case study on China’s position and transition in UN climate change negotiations is undertaken. Major catalysts, stemming from national interests and political factors, are examined as explanatory factors influencing China’s gradual movement from a passive to active attitude toward climate change negotiation regime. This change, exemplified by its increased support for the UNFCCC, is born out in the four variable matrix introduced in this paper.
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气候变化谈判中的国家立场动态:对排放、成本和制度支持的分析
近年来,根据《联合国气候变化框架公约》(UNFCCC)参与气候变化谈判的许多国家的立场发生了显著变化。虽然这些立场的变化与发展中国家和发达国家优先事项的变化相吻合,但对于一个国家如何制定其谈判政策尚未达成共识,因此迄今为止,理解全球气候谈判中的这些变化是困难的。虽然 S&V 方法提供了宝贵的见解和开展进一步研究的知识基础,但正如本文所表明的那样,它经不起时间的考验。也就是说,对全球气候变化谈判历史的全面回顾揭示了 S&V 模型中的不准确之处,尤其是其主要变量之一--生态脆弱性--难以测量,而且模型本身也未能准确解释战略形成的变化过程。鉴于这些缺陷,本文提供了一个替代分析框架,以更好地理解一个国家如何制定其气候变化谈判政策和战略。为此,本文开发了一个四变量矩阵--模式 A、B、C 和 D,其关键在于影响气候变化谈判的两个核心投入:排放和成本。排放量是一个国家在全球温室气体(GHG)总量中所占的份额,代表了一个国家在气候变化问题上与全球社会积极合作的责任。成本可以理解为一个国家为减少温室气体排放而产生的费用,因此也是衡量一个国家这样做的合理吸引力的一种手段。如果将这些因素结合起来,并根据本文开发的四个变量矩阵进行分析,我们就能更好地理解影响一个国家在气候变化谈判中立场的基本特征。为了分析国家立场的变化,我们将排放和成本变量与第三个因素--国家对气候变化谈判制度的支持--一起考虑。该变量探讨了一个国家决定重新调整其谈判战略的动机和动力,并纳入了国家利益和政治因素等影响因素。为了检验本文所建立的模型,我们对中国在联合国气候变化谈判中的立场和转变进行了案例研究。来自国家利益和政治因素的主要催化剂被视为影响中国对气候变化谈判制度的态度从被动逐渐转向主动的解释因素。中国对《联合国气候变化框架公约》支持力度的增加体现了这一变化,本文引入的四个变量矩阵也体现了这一变化。
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