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Comparative flood damage model assessment: Towards a European approach

机译:比较洪水灾害模型评估:采用欧洲方法

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摘要

There is a wide variety of flood damage models in use internationally, differing substantially in their approaches and economic estimates. Since these models are being used more and more as a basis for investment and planning decisions on an increasingly large scale, there is a need to reduce the uncertainties involved and develop a harmonised European approach, in particular with respect to the EU Flood Risks Directive. In this paper we present a qualitative and quantitative assessment of seven flood damage models, using two case studies of past flood events in Germany and the United Kingdom. The qualitative analysis shows that modelling approaches vary strongly, and that current methodologies for estimating infrastructural damage are not as well developed as methodologies for the estimation of damage to buildings. The quantitative results show that the model outcomes are very sensitive to uncertainty in both vulnerability (i.e. depth-damage functions) and exposure (i.e. asset values), whereby the first has a larger effect than the latter. We conclude that care needs to be taken when using aggregated land use data for flood risk assessment, and that it is essential to adjust asset values to the regional economic situation and property characteristics. We call for the development of a flexible but consistent European framework that applies best practice from existing models while providing room for including necessary regional adjustments.
机译:国际上有各种各样的洪灾破坏模型,其方法和经济估算都大相径庭。由于越来越多地将这些模型用作投资和计划决策的基础,因此有必要减少所涉及的不确定性,并开发出一种统一的欧洲方法,尤其是在《欧盟洪水风险指令》方面。在本文中,我们使用德国和英国过去发生的洪水事件的两个案例研究,对七个洪水灾害模型进行了定性和定量评估。定性分析表明,建模方法差异很大,当前用于估算基础设施破坏的方法还不如用于估计建筑物破坏的方法。定量结果表明,模型结果对脆弱性(即深度破坏函数)和风险敞口(即资产价值)的不确定性非常敏感,因此前者的影响要大于后者。我们得出结论,在使用汇总的土地利用数据进行洪水风险评估时需要格外小心,并且必须根据地区经济状况和财产特征调整资产价值。我们呼吁开发一个灵活但一致的欧洲框架,该框架应采用现有模型的最佳做法,同时为包括必要的区域调整提供空间。

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