Risk and Resilience in the Management and Governance of Natural Hazards

C. Kuhlicke
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引用次数: 5

Abstract

The management of natural hazards is undergoing considerable transformation, including the establishment of risk-based management approaches, the encouragement to govern natural hazards more inclusively, and the rising relevance of the concept of resilience. The benefits of this transformation are usually framed like this: Risk-based approaches are regarded as a rational way of balancing the costs associated with mitigating the consequences of hazards and the anticipated benefits; inclusive modes of governing risks help to increase the acceptance and quality of management processes as well as their outcomes; and the concept of resilience is connoted positively since it demands a greater openness to uncertainties and aims at increasing the capacities of various actors to cope with radical surprises. However, the increasing consideration of both concepts in policy and decision-making processes is associated with a changing demarcation between public and private responsibilities and with an altering relationship between organizations involved in the management process and the wider public. To understand some of these dynamics, this contribution undertakes a change of perspective throughout its development: Instead of asking how the concepts of risk or resilience might be useful to improve the management and governance of natural hazards, one must understand how societies, particularly with regard to their handling of risks and hazards, are governed through the concepts of risk and resilience. Following this perspective, risk-based management approaches have a defensive function in deflecting blame and rationalizing policy choices ex-ante by enabling managing organizations to more clearly define which risks they are responsible for (i.e., non-acceptable risks) and which are beyond their responsibility (i.e., acceptable risks). This demarcation also has profound distributional effects as acceptable risks usually need to be mitigated individually, raising the question of how to ensure the just sharing of the differently distributed benefits and burdens of risk-based approaches. The concept of resilience in this context plays a paradoxical yet complementary role: In its more operational interpretation (e.g., adaptive management), resilience-based management approaches can be in conflict with risk-based approaches as they require those responsible for managing risks to follow antagonistic goals. While the idea of resilience puts an emphasis on openness and flexibility, risk-based approaches try to ensure proportionality by transforming uncertainties into calculable risks. At the same time, resilience-based governance approaches, with their emphasis on self-organization and learning, complement risk-based approaches in the sense that actors or communities that are exposed to “acceptable risks” are implicitly or explicitly made responsible for maintaining their own resilience, whereas the role of public authorities is usually restricted to an enabling one.
自然灾害管理和治理中的风险和复原力
自然灾害的管理正在经历重大变革,包括建立基于风险的管理办法,鼓励以更包容的方式治理自然灾害,以及复原力概念日益重要。这种转变的好处通常是这样的:基于风险的方法被认为是平衡与减轻危害后果和预期利益相关的成本的合理方法;风险管理的包容性模式有助于提高管理过程及其结果的接受度和质量;弹性的概念是积极的,因为它要求对不确定性有更大的开放性,旨在提高各种行动者应对激进意外的能力。然而,在政策和决策过程中越来越多地考虑到这两个概念是与公共和私人责任之间不断变化的界限以及参与管理过程的组织与广大公众之间不断变化的关系有关的。为了理解其中的一些动态,这一贡献在其整个发展过程中需要改变观点:与其询问风险或恢复力的概念如何有助于改善自然灾害的管理和治理,人们必须了解如何通过风险和恢复力的概念来管理社会,特别是在处理风险和危害方面。按照这种观点,基于风险的管理方法具有一种防御功能,通过使管理组织能够更清楚地定义哪些风险是他们负责的(即,不可接受的风险),哪些超出了他们的责任(即,可接受的风险),从而在转移责任和事前合理化政策选择方面发挥作用。这种划分也具有深刻的分配影响,因为通常需要单独减轻可接受的风险,这就提出了如何确保公平分享基于风险的方法的不同分配的利益和负担的问题。在这种情况下,弹性的概念扮演了一个矛盾而又互补的角色:在其更具操作性的解释中(例如,适应性管理),基于弹性的管理方法可能与基于风险的方法相冲突,因为它们要求负责管理风险的人遵循对立的目标。虽然弹性的概念强调开放性和灵活性,但基于风险的方法试图通过将不确定性转化为可计算的风险来确保相称性。与此同时,基于复原力的治理方法强调自组织和学习,在某种意义上补充了基于风险的方法,即暴露于“可接受风险”的行为者或社区隐含或明确地负责维持其自身的复原力,而公共当局的作用通常仅限于使能。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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