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REVISED STRATEGIES FOR FLOOD RISK MANAGEMENT: LESSONS FROM THE 2002 FLOOD IN EUROPE

机译:经修订的洪水风险管理战略:欧洲2002年洪水的课程

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The extreme flood event in central Europe in August 2002 caused large damages and loss of human lives in Austria, in the Czech Republic and in southeast Germany. The monetary flood losses are estimated as a total of 15 to 16 billion ?, and 3.1 billion ? in Austria, respectively. The flood peak of the Elbe River in Dresden was classified at least as a 500-year event. In Austria, the River Danube peak flow corresponded to average return intervals of 70-100 years, dependent on the river reaches, while in some tributary basins the estimated return periods of the flood peaks was above 1,000 years. The objective of this paper is to summarize the experiences gained from the last catastrophic flood, to re-analyze the flood management strategy and to discuss a "new" flood risk management approach. This article is organized in four chapters. It starts with an overview of the flood event and its consequences in central Europe. It then analyses possible impacts on the flood formation, like the role of climate change and direct human interventions in the river basin. Next, strategies for flood protection and risk management are reviewed, and finally an integrated flood risk management framework is proposed.
机译:2002年8月中欧的极端洪水事件导致奥地利的巨大损失和损失,在捷克共和国和德国东南部。货币洪水损失估计为15至160亿?和31亿?分别在奥地利。德累斯顿的易北河的洪水峰被分类为500年的活动。在奥地利,多瑙河峰流量与平均返回间隔相当于70-100年,依赖于河流到达,而在一些支流盆地中,洪水峰的估计返回期高于1000年以上。本文的目的是总结从最后一个灾难洪水中获得的经验,重新分析洪水管理战略,并讨论“新”洪水风险管理方法。本文分为四章组织。它首先概述了洪水事件及其在中欧的后果。然后分析可能对洪水形成的影响,如气候变化和河流流域的直接人类干预措施。接下来,审查了防洪和风险管理策略,最后提出了综合洪水风险管理框架。

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