The rationales of resilience in English and Dutch flood risk policies

被引:28
作者
Wiering, Mark [1 ]
Green, Colin [2 ]
van Rijswick, Marleen [3 ]
Priest, Sally [2 ]
Keessen, Andrea [3 ]
机构
[1] Radboud Univ Nijmegen, Nijmegen Sch Management, Inst Management Res, NL-6500 HK Nijmegen, Netherlands
[2] Flood Hazard Res Ctr, London, England
[3] Utrecht Sch Law, Utrecht Ctr Water Oceans & Sustainabil Law, NL-3512 HT Utrecht, Netherlands
关键词
climate change; flood risk management; governance; resilience; The Netherlands; United Kingdom; CLIMATE-CHANGE; MANAGEMENT; INSURANCE; ADAPTABILITY; ENGLAND;
D O I
10.2166/wcc.2014.017
中图分类号
TV21 [水资源调查与水利规划];
学科分类号
081501 ;
摘要
We compared the governance of flood risk in England and the Netherlands, focusing on the general policies, instruments used and underlying principles. Both physical and political environments are important in explaining how countries evolved towards very different rationales of resilience. Answering questions as 'who decides', 'who should act' and 'who is responsible and liable for flood damage' systematically, results in a quite fundamental difference in what resilience means, and how this affects the governance regime. In the Netherlands, there is nationwide collective regime with a technocracy based on the merit of water expertise, legitimated by a social contract of government being responsible and the general public accepting and supporting this. In England there also is a technocracy, but this is part of a general-political and economic-rational decision-making process, with responsibilities spread over state, insurance companies, individuals and communities. The rationales are connected to specific conceptions of the public interest, leading to specific governance principles. In both countries, flood risk strategies are discussed in the light of climate change effects, but resilience strategies show more persistence, although combined with gradual adaptation of practices on lower scales, than great transformations.
引用
收藏
页码:38 / 54
页数:17
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