英格兰和威尔士洪水风险变化的驱动因素和影响的量化情景分析:2030-2100

Jim W Hall , Edward P Evans , Edmund C Penning-Rowsell , Paul B Sayers , Colin R Thorne , Adrian J Saul
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引用次数: 97

摘要

洪水给经济、社会和环境带来的风险反映了几十年来环境和社会经济变化的累积效应。因此,为了制定强有力和可持续的洪水风险管理政策,需要制定长期情景。量化的国家尺度洪水风险分析和专家评估导致洪水风险变化的机制已被用于评估英格兰和威尔士在2030-2100年期间的洪水风险。评估涉及使用社会经济和气候变化情景。该分析预测,除非当前的洪水管理政策、做法和投资水平有所改变,否则到本世纪80年代,在经济增长最快的情况下,洪水风险将增加20倍。这一增加可归因于气候变化(特别是英国部分地区降水增加和海平面相对上升)和社会经济脆弱性的增加,特别是在家庭/工业内容和基础设施脆弱性方面。讨论了这些发现的政策含义。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Quantified scenarios analysis of drivers and impacts of changing flood risk in England and Wales: 2030–2100

Flood risk to the economy, society and the environment reflects the cumulative effects of environmental and socio-economic change over decades. Long-term scenarios are therefore required in order to develop robust and sustainable flood risk management policies. Quantified national-scale flood risk analysis and expert appraisal of the mechanisms causing change in flood risk have been used to assess flood risk in England and Wales over the period 2030–2100. The assessment involved the use of socio-economic and climate change scenarios. The analysis predicts increasing flood risk unless current flood management policies, practices and investment levels are changed—up to 20-fold increase in economic risk by the 2080s in the scenario with highest economic growth. The increase is attributable to a combination of climate change (in particular increasing precipitation and relative sea level rise in parts of the UK) and increasing socio-economic vulnerability, particularly in terms of household/industrial contents and infrastructure vulnerability. The policy implications of these findings are discussed.

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