预防复杂系统压力的缺口方法:在不断变化的气候条件下管理自然灾害引发的财政风险

S. Hochrainer-Stigler, R. Mechler, T. Deubelli-Hwang, Elisa Calliari, R. Šakić Trogrlić
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引用次数: 0

摘要

与自然灾害和气候变化相关的灾害发生在复杂的社会经济系统中,包括可持续发展和资源管理在内的理想系统状态是在全球、地区和国家层面上制定的。然而,复杂系统方法还只是被初步纳入相关应用中,我们讨论的重点是财政风险的建模和政策挑战。作为中间步骤,我们提出了一种缺口方法,并将其与复杂系统可能因自然灾害事件而承受的财政压力水平联系起来。我们认为,在没有缺口的情况下,可以假定没有压力,因此不需要对包括连带效应在内的干扰进行建模。但同时我们也承认,迫切需要用复杂系统方法来应对相应的挑战。在政策方面,我们的论文回应了对现实世界应用的关注,并能为当前《联合国气候变化框架公约》和《巴黎协定》中围绕适应资金和 COP27 确定的气候影响损失和损害新资金安排的讨论提供支持。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
A gap approach for preventing stress in complex systems: managing natural hazard induced fiscal risks under a changing climate
Disasters associated with natural hazards as well as climate change are happening within complex socio-economic systems and desired system states, including sustainable development and resource management, are formulated on the global as well as regional and national levels. However, complex system approaches are yet only rudimentarily incorporated in related applications, and we discuss modeling as well as policy challenges focusing on fiscal risk. As an intermediate step we suggest a gap approach which we relate to fiscal stress levels a complex system may experience due to natural hazard events. We argue that in case of no gaps one can assume a no stress situation and therefore modeling of disruptions including cascading effects is less necessary. However, at the same time we also acknowledge that there is an urgent need to address corresponding challenges with complex system methods. Policy-wise our paper responds to concerns for real-world applications and can provide insights to support current discussions within the UNFCCC and Paris Agreement around both adaptation finance and the new funding arrangements for loss and damage from climate impacts established at COP27.
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